

Our team of exceptional subject matter experts on specialisation across diverse risk areas will enable you to successfully navigate the ever changing regulatory & business environment
Alok is a successful serial entrepreneur with a proven track record of building global analytics & tech-driven businesses focused on the financial services industry. Alok has been advising leading financial services firms globally on transformation initiatives for over 20 years. Alok has established Aptivaa as a highly successful risk analytics firm with over 200 clients across 30 plus countries. Before Aptivaa, he built the Enterprise Risk Services (ERS) practice at Deloitte in India, which established Deloitte as a market leader in the ERS domain. Alok has a Bachelor in Engineering, and a Masters in Management with a specialization in Finance.
Sandip is an entrepreneur who is passionate about cognitive automation technology and what next generation of startups can do to make regulatory compliance in financial services sector smooth and hassle-free. Sandip has 20+ years of experience in implementing Risk and Regulatory compliance programmes with top tier global and regional banks and financial institutions across the globe. Sandip has a Bachelor of Technology from IIT Kharagpur and a Masters in Management from IIM Ahmedabad.
Ashley has several years of experience in the banking sector across the areas of credit, market and operational risk. He has managed multi-disciplinary projects including consideration of data, analytical modeling, governance, methodology, tools and process issues. He has vast experience in assisting banks in developing roadmaps for compliance with emerging regulations, risk models development and validation, stress testing and reporting frameworks, asset liability management, and capital planning. He has also been a speaker at several risk management focused forums and has conducted trainings for Central banks and other regulatory authorities. A certified FRM practitioner, he holds a PGDM in Finance from Indian Institute of Management, Kozhikode.
Vibhor has 8+ years of rich experience of working with various banks across UK, the Middle East and South Asia. He has been involved in multiple projects related to Basel II, Basel III, Credit Risk, Market Risk, Liquidity Risk, Risk Systems Vendor Selection, Model Development / Validation, ICAAP, Stress Testing & Risk based pricing. His current role includes Client Relationship management, Pre-sales, Business Development and alliances management in the region. He has also been a speaker at several risk management forums. He holds a B.Tech from the Indian Institute of Technology (IIT) Kharagpur and PGDBM (Finance) from XLRI, Jamshedpur. He also holds FRM (Financial Risk Manager) Charter by GARP.
Dinesh has 12+ years of experience in banking, risk and capital management and risk analytics. He has headed Basel II IRB and AMA projects for top private banks in India and has led multiple projects covering risk model development and validation. He also has six years of experience with a large private bank where he headed Basel II implementation and Corporate Risk Analytics team. As Director at Aptivaa, he is leading machine learning and risk analytics projects. Dinesh has done PGDM from IIM-Indore and is a certified FRM and PRM.
Satya brings with him more than 10 years of Banking and Risk Management experience focusing on Liquidity and Interest Rate Risk Management, FTP, Behavioral Modeling, Market Risk, VaR, Counterparty Credit Risk, and related areas. At Aptivaa, he has been leading regulatory implementation projects like IRRBB and ILAAP with some of the largest banks in the Middle East. He has developed a deep understanding of the banking business through his previous role as Head of ALM function where he worked closely with ALCO to help the bank strategize for optimum balance sheet structure and risk-return profile. He has graduated in Electrical Engineering from IIT Kharagpur and holds a PGDM degree in Finance from IIM Lucknow. He is a GARP certified Financial Risk Manager (FRM).
Masoom has 12+ years of experience in the Financial Risk Industry, specifically in the area of Market Risk Analytics , FRTB , OTC Derivative Pricing and Market Risk Model Validation projects as per FED/OCC/TRIM regulation. He has managed multi-disciplinary projects including Market Risk Model Validation, Market Risk RWA Capital computation, FRTB QIS Initiatives and Front Office Risk System Implementation project. He holds a Masters degree in Economics from AMU and Bachelors degree in Mathematics from VBS. He also holds CQF (Certificate in Quantitative Finance) by Fitch-UK and Certified FRM (Financial Risk Manager) Charter from GARP.
Gaurav is an ALM specialist with more than 11 years of experience working with banks across India, the United Kingdom and Qatar, and has now joined ALM advisory practice. His area of expertise includes ILAAP, RRP, IRRBB, Integrated Stress Testing, CFP, ALM behavioural studies, Funding Strategy, Liquidity Risk Management framework, regulatory ratios management and forecasting. He holds a B.Tech from IIT Roorkee and PGDIM from NITIE Mumbai. He has FRM Certification from GARP.
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