VidaCaixa
Sahil Kirpalani is a Market Risk Analyst at VidaCaixa since September 2022, specializing in performance attribution of managed funds and market risk analysis. Prior to this role, Sahil served as a Financial Risk Management Consultant at KPMG España, focusing on metrics architecture for various risk classes and the strategic design of Trading Book resolution plans. As a Senior Financial Analyst at both Quantified Statistics & Data Analysis and Canary365, Sahil led teams to develop strategic plans and improve efficiency through process automation. The professional background includes experience as a Trainee at PHARUM CONSULTORES and EPC Centro de Proyectos. Sahil holds a Financial Risk Management degree from Afi Global Education, a Master of Science in Quantitative Finance from Universidad de Alcalá, and a Bachelor’s degree in Business & Finance from the University of Wales and Universidad del Atlántico Medio.
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