Mayank Kumar is an experienced Market Risk Manager at Nomura, where employment began in April 2014. Current responsibilities include managing risk for Nomura India fixed income, European entity risk, CVA, and US traded credit products since January 2023, following previous roles focusing on European entity risk and market risk. Prior to Nomura, Mayank Kumar served as an Analyst in Risk & Treasury at Polaris Consulting & Services Ltd from June 2012 to March 2014, and interned at Arogya Finance, developing a business plan for a credit facility startup in May 2011. Educational qualifications include a PGDM in Finance from the Indian Institute of Management, Ranchi, a Bachelor of Technology in Computer Science from the National Institute of Science & Technology, and completion of CFA Level 3 from the CFA Institute.
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