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Vinit Mehta

Adjunct Faculty

LinkedIn Profile


  • Chartered Accountant, Institute of Chartered Accountants of India, India (2009)
  • Finance Risk Manager, Global Association of Risk Professionals, USA (2009)
  • Bachelor of Commerce, University of Mumbai, India (2006)
  • Cleared CFA Level 2, CFA Institute, USA (2015)
Subject Taught / Student Project Mentor
  • Financial Statement Analysis
  • Fixed Income
  • Derivatives & Structured Products
  • Corporate Finance & Valuation
  • Project Finance
  • Financial Modelling
  • Equity & Valuation
  • Economics
  • Quantitative
  • Alternative Investments
  • Portfolio Management
  • Financial System & Markets
  • Mergers and Acquisitions
  • Financial Accounting
  • Risk Management

Academic experience

  • Adjunct Faculty, Finance, SP Jain School of Global Management, (2022 – Present)
  • Adjunct Faculty, Finance, NMIMS University, (2020 – Present)
    • Subjects Taught: Financial Modelling, Financial Statement Analysis, and Investment Analysis & Portfolio Management
  • Visiting Faculty, Post-graduate students pursuing CA & CFA (2019 – Present)
    • Subjects Taught: Microeconomics & Macroeconomics, FOREX management, Fixed Income, Derivatives, Financial Statement Analysis, Equity & Valuation, Corporate Finance, Portfolio Management, Alternative Investments, Business & Financial Modelling, and Corporate Valuation.


  • Structured Financing – International Debt Advisory Firm
    • Sourcing, Structuring & Coverage of international clients across Asia, Europe & Africa for Trade & Structured Trade Finance transactions as well as Export & Structured Finance (long-term project finance)
    • Developing network & relationships with leading international financial institutions such as Banks, NBFCs, Insurers & Re-insurers, Fintech funds, PE Funds, Family funds, etc.
  • Business Development – Financial Institutions (Europe), Axis Bank Ltd.
    • Sourcing & structuring deals in FI space – cross-border plain vanilla trade finance, structured trade finance and cash management with FIs.
    • Originating & participating in FI loans in bilateral or syndication format
    • Explore international markets to raise liabilities through syndicated, club and bilateral loans and trade refinancing
  • Business Development – Financial Institutions (NE Asia), ICICI Bank Ltd.
    • Sourcing and structuring deals in FI space – cross border plain vanilla and structured trade finance, cross-border payments (remittances & investment flows) and treasury (money market, FX & derivatives)
    • Launched two new insurance - backed products from conceptualisation to roll-out and building divisions from grounds up, adding to the existing revenue stream and business volumes. Including the development of internal product notes & policies
    • Monitor economic, industry and political outlook to recommend cross border exposure
    • Explore international markets to raise liabilities for the bank through syndicated, club & bilateral loans and trade refinancing
  • Credit Analyst – Sovereign & Financial Institutions (MENA), ICICI Bank Ltd.
    • Analysing sovereign risk by understanding monetary policy, fiscal policy, external position and banking sector of a country
    • Assessment of credit limits / tenor / facilities to be extended to FIs by undertaking CAMEL analysis
  • Credit Analyst – Corporate Funding, Kotak Mahindra Bank Ltd.
    • Analysing and performing due diligence on corporate clients
    • Performing industry analysis
    • Structuring deals in line with client’s requirements, bank’s policy & other regulations
  • Analyst – Investment Banking, JP Morgan Chase
    • Working on pitch books and deriving valuations on various deals across Retail, Consumer & Healthcare sector
    • Analysing and performing due diligence on corporate clients
    • Performing industry analysis


  • Member of Institute of Chartered Accountants of India


  • Fixed Income
  • Structured Products
  • Valuation
  • Derivatives
  • Financial Markets