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Corporate-Color
Kaustav Bhattacharjee

Kaustav Bhattacharjee

Adjunct Faculty


Education

  • Post Graduate Diploma in Management, Indian Institute of Management, Ahmedabad, India (2005-2007)
  • Bachelor of Chemical Engineering, Jadavpur University, Kolkata, India (2001-2005)
  • Chartered Financial Analyst, CFA Institute, USA (2008-2010)
SUBJECTS TAUGHT / STUDENT PROJECT MENTOR
  • Derivatives
  • Financial Risk Management
  • Financial Markets
  • Fixed Income
  • Portfolio Management
  • Mergers and Acquisitions
EXPERIENCE

Academic experience

  • Adjunct Faculty, Finance at SP Jain School of Global Management

CORPORATE experience

  • Vice President, Traded Credit Risk Methods (TCRM), DBS Bank, Singapore (2017-Present)
  • Associate Director, Financial Risk Management (FRM), KPMG, Singapore and India (2013-17 and 2009-2011)
  • General Manager, Market Risk – Commodities, Reliance Accelerated Leadership Program, Reliance Industries, India (2011-2013)
  • Relationship Manager, Markets and Banking, Management Associate Program, Citigroup, India (2007-2009)
  • Co-author of a chapter in the book – Managing Illiquid Assets: Perspectives and Challenges, published by Risk Books, London, 2012.
  • Guest Speaker, Fundamental Review of the Trading Book (FRTB)- Standardized Approach, Asian Risk Congress, Singapore, 2016.
  • Conducted professional workshop, representing KPMG, at the Monetary Authority of Singapore (MAS) in counterparty credit risk measurement, 2015.
  • Media article, Basel III and Liquidity, GT News, 2014.

Training & Development

  • Harvard Business Review (HBR), Mumbai: Team Management, Emotional Intelligence, Communication
  • KPMG Germany, Frankfurt: Financial Engineering Accreditation
  • Citi Management Centre, Shanghai: Finance, Markets and Banking