Sriraghavan Rajamannar

Senior Retail Portfolio Manager - Analytics Retail Risk at Gulf International Bank

Sriraghavan Rajamannar is a seasoned financial professional with extensive experience in risk analytics and portfolio management across various banking institutions. Currently serving as Senior Retail Portfolio Manager - Analytics Retail Risk at Gulf International Bank, Sriraghavan specializes in data management and regulatory reporting. Previous roles include Head of Analytics at Tas'heel Finance, where Sriraghavan managed the analytics team focused on customer onboarding and risk management, and Director at CIB Egypt, responsible for risk infrastructure and controls. Sriraghavan's background encompasses significant contributions to credit risk model development and analytics at leading banks such as Bank Danamon Indonesia, Mashreqbank, and Citi, as well as a foundation in equity research from Foretell Business Solutions. Educational credentials include an M Phil in Econometrics and Economics from the University of Madras.

Links

Previous companies


Org chart

No direct reports

Teams

This person is not in any teams


Offices

This person is not in any offices


Gulf International Bank

3 followers

Gulf International Bank B.S.C. (GIB) is a pan-GCC universal bank established in 1975 and regulated by the Central Bank of Bahrain. GIB provides diverse financial products, services and bespoke banking solutions to a wide client base in the GCC, Europe and North America. This includes corporate, institutional, global transaction and investment banking; treasury and asset management; and meem, the world’s first fully-digital Shariah-compliant retail bank. The Group is active across regional and international markets through its subsidiaries GIB Saudi Arabia and GIB (UK) Ltd and its branches in the UAE and USA. GIB Saudi Arabia is the first foreign-domiciled bank to establish a local commercial bank in the Kingdom. Headquartered in Al Khobar, the bank has branches in Riyadh and Jeddah with its Riyadh based subsidiary, GIB Capital, delivering the Bank’s investment banking activities. Its activities span equity advisory and placements, mergers, acquisitions and privatisations; debt capital market solutions and strategic financial advisory, along with asset management and equities brokerage. GIB (UK) Ltd is a London and New York-based global asset manager with AUM in excess of US$ 11 billion. As a signatory to the UN Principles for Responsible Investment, it offers sustainable investment strategies. GIB is owned by the governments of the Gulf Cooperation Council countries, with Saudi Arabia’s Public Investment Fund being the primary shareholder.


Industries

Employees

1,001-5,000

Links