Neha Agarwal

Product Manager

Bengaluru, Karnataka, India15 yrs 3 mos experience
Most Likely To SwitchHighly Stable

Key Highlights

  • 16 years of experience in product launch management.
  • Expert in executing high-stakes financial instrument launches.
  • Strong background in market risk analysis and reporting.
Stackforce AI infers this person is a Fintech expert with extensive experience in product management and market risk analysis.

Contact

Skills

Core Skills

Product ManagementProduct LaunchMarket RiskFinancial ReportingFinancial ModellingIndustry Analysis

Other Skills

Product DevelopmentProductReference DataGlobexCapital MarketsBusiness AnalysisDerivativesFutures and Options (F&O)Enterprise ValuationRisk ManagementTradingEnergyFinancial RiskAnalysisValuation

About

Strategic and high-impact Product Launch Manager with 16 years of experience at CME Group driving the end-to-end lifecycle of complex financial instruments. Proven track record in executing high-stakes launches across Futures, Options, Spot FX (EBS), Fixed Income (BrokerTec) for US and EU markets and Predictions Market. Adept at managing multi-business unit integrations to drive liquidity and market participation. FRM level 1 from GARP.

Experience

15 yrs 3 mos
Total Experience
3 yrs 9 mos
Average Tenure
9 yrs 2 mos
Current Experience

Cme group

5 roles

Manager Product Launch

Promoted

Feb 2025Present · 1 yr 4 mos

Ld II Product Business Analyst

Feb 2024Feb 2025 · 1 yr

Product ManagementProduct LaunchProduct DevelopmentProductReference DataGlobex+4

Ld Product Business Analyst

Feb 2022Feb 2024 · 2 yrs

Sr. Product Business Analyst

Promoted

Jul 2019Feb 2022 · 2 yrs 7 mos

Pricing and Valuation Associate

Mar 2017Jun 2019 · 2 yrs 3 mos

Pricewaterhousecoopers - service delivery center (pwc sdc)

Senior Consultant

Jul 2015Feb 2017 · 1 yr 7 mos · Bangalore Area, India

Trafigura

Market Risk Analyst - Gasoline

Jul 2012Jan 2015 · 2 yrs 6 mos · Mumbai Metropolitan Region

  • Daily Mark to Market reporting for board of directors / traders group explaining the changes in the trading profit and loss due to market changes / actual economics for each physical gasoline deal.
  • Constructing forward curve, capturing daily market price risk and executing hedge actions using various derivatives instruments. Assessing implication of changes to future physical deliveries involving optionality around pricing, delivery, blending margins, composition/specification of product, reported and discussed impacts of relevant hedge strategy by use of appropriate modelling techniques.
  • Assessing actual trading P&L vs estimates post deal completion for variance analysis & reporting.
  • Following regulatory reporting & systemic controls on financial instruments by usage of Dodd-Frank & other regulatory frameworks

3a composites

2 roles

Asst. Manager Finance

Mar 2012Jun 2012 · 3 mos

Business Analyst

Jun 2010Mar 2012 · 1 yr 9 mos

Singhi advisors

Management Intern

Jun 2009Aug 2009 · 2 mos

  • Performed a three-phased detailed Economic, Industry and Company analysis for three major industries viz. IT, Healthcare & Printing supported by a Financial Modelling and Enterprise Valuation suitable for and seeking "Consolidation Opportunities within the Industries"
  • Performed an indepth analysis on the current financial trends in the Stock broking Industry during the period
  • Studied, analyzed and reviewed the significance and relevace of Open Offer deals across Industries during the period

Education

GARP

FRM level 1 — Risk Management

Jan 2015Jan 2016

GARP

Foundations of Financial Risk — Financial Risk

Jan 2015Jan 2015

Indian Institute of Management Training, Pune

PGDM

Jan 2008Jan 2010

University of Calcutta

Bachelors — Economics

Jan 2003Jan 2006

Motilal Nehru Public School

Jan 1996Jan 2003

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