Ankur khandelwal

Associate Partner

Mumbai, Maharashtra, India12 yrs 8 mos experience
Most Likely To SwitchHighly Stable

Key Highlights

  • Extensive experience in credit risk management.
  • Proven track record in large ticket credit underwriting.
  • Strong analytical skills in financial modeling and analysis.
Stackforce AI infers this person is a Credit Risk Management expert in the Financial Services industry.

Contact

Skills

Core Skills

Credit RiskCredit AnalysisRisk Management

Other Skills

Credit ManagementWorking CapitalTransport & InfraStrategic Credit ManagementCredit UnderwritingRisk AnalysisDerivatives ResearchFinancial ModelingCorporate FinanceFinancial AnalysisMicrosoft ExcelBusiness AnalysisValuationFinanceTeam Management

About

Risk Management - credit underwriting

Experience

Hdfc bank

2 roles

Assistant Vice President

Promoted

Dec 2025Present · 4 mos · Mumbai, Maharashtra, India

  • Credit Manager - Working Capital | Large Ticket | Transport & Infra segment
Credit ManagementWorking CapitalTransport & InfraCredit RiskCredit Analysis

Senior Manager - CTG Credit

Jun 2022Nov 2025 · 3 yrs 5 mos · Mumbai, Maharashtra, India

  • Senior credit manager - Handling strategic profile in CV/CE/WC
Strategic Credit ManagementCredit Risk

Tata motor finance

Area Manager - Strategic Credit

Apr 2021Jun 2022 · 1 yr 2 mos

  • credit manager cv
Credit ManagementCredit Risk

Idfc bank

Credit Manager

Feb 2018Apr 2021 · 3 yrs 2 mos · Ahmedabad, Gujarat, India

  • Credit Underwriter - CV&CE
Credit UnderwritingCredit Risk

Yes bank

Credit Manager

Jan 2016Feb 2018 · 2 yrs 1 mo · Mumbai, Maharashtra, India

  • Credit Underwriter - CV&CE
Credit UnderwritingCredit Risk

Equifax

Data Analyst - Quality

Feb 2015May 2016 · 1 yr 3 mos

Ss&c globeop

Associate

Apr 2013May 2014 · 1 yr 1 mo · Airoli

  • Involved in Institutional Derivatives Research, Option strategies, Fixed income securities, Risk models & Swaps volatility and correlation analysis.
  • Quantitative and qualitative risk analysis on US Equities and Balanced portfolios (VaR, Sharpe ratio, cyclical and sectorial evolutions)
  • Responsible to keep the organization updated about the changing trends in derivatives market
  • Identifying potential risk concerns within the Credit portfolio and efficiently providing a risk assessment for the monthly Credit Watch report
  • Interface with external Clients for resolving queries.
  • Responsible to analyze and review the accuracy and legality of the derivatives
  • Control of the products and pricing (mainly Asset Swaps, Forex options,Bonds)
Risk AnalysisDerivatives ResearchRisk Management

Morningstar inc.

Analyst

Oct 2012Apr 2013 · 6 mos · mumbai

  • Analyst - Corporate Action and Fundamentals

Education

ICFAI University

Master of financial analysis — Financial analysis

Jan 2013Jan 2013

ICFAI

Chartered Financial Analyst — Finance and Financial Management Services

Jan 2010Jan 2013

Durgadevi saraf institute of management studies

MMS — Finance

Jan 2010Jan 2012

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