Jagannathan Janakiraman Risk, Credit, Market, Capital Markets
3 Reviews

About the Tutor/Teacher/Mentor
1).12+ Years of experience in Investment Banking, Capital(Stock) Markets of India & U.S.
2). In-depth knowledge in financial derivatives, trading, and portfolio management.
3). 360-degree view of risk management across credit, market, operational risks
4). Good understanding of BASEL risk regulations.
5). Precise knowledge in Investment banking capital markets division
6). Good product knowledge across asset classes i.e. equities, options, Swaps, Bonds Futures, Asset & Liability management
7). Hands on experience in Risk management i.e. Value at Risk, Stress testing, Montecarlo simulations

Achievements:
1).Cracked Leading top Investment banking interviews in the first attempt
2). Certified FRM issued by Global Association of Risk Professionals (U.S.)
3). Cleared CFA Level I from CFA Institute the U.S
4). National Stock Exchange Capital Market Professional - Level 2

Current Clients:
1).Middle East,
2).Australia,
3).USA,
4).Europe

Services Offered:
--Interview preparation: I do help candidates in preparing their interviews with top investment banking and asset management firms and add value to their skills via zoom sessions.
--Guiding on Assignments by educating them: teach students the concepts and make them do the assignments & verify whether they are right!
---Stock Markets: How to trade? where to trade?
----Career Guidance & Mentorship activity in the stream of Finance and Investment Banking, Risk Management, Financial Modelling

Criteria: If the candidate is unable to afford fees, will train the person and guide him on the right path to achieve the desired Goal! I am doing this as a giveaway perspective, let the right candidates get the benefits

Objectives
1)To help candidates in gaining expertise over Market Risk / Credit Risk / Capital Markets knowledge and projects and assignments
2)To help candidates with their Finance/ Banking/ Derivatives / Bond Valuations assignments.
3)To help candidates with excel based computational assignments like VaR calculations, Montecarlo Simulations, Options Strategy in excel like Straddle, Strangle .etc
4)To help candidates in research papers and writing summaries on the same
5). To help candidates in Balance sheet analysis for Asset Liability Management, Equity analysis, Discounted cash flow valuations.
6).Black Scholes Models
7). Credit risk Probability of Default & Loss given defaults
8). FX triangular arbitrage

Fee Structure:
Fees are solely based on the difficulty and overall efforts of the task and can vary based on sessions, assignments.

Recent Projects
Financial Modelling
Treasury Risk Management
CFA Level 1 Coaching
Asset Liability Management
Monte Carlo Simulations
VaR calculation
Credit Risk Modelling
Balance Sheet Analysis
Credit risk calculations
Options strategy
Equity
FRM Part 1
ALM, Investment Risk
Treasury
Finance, Equity research. Portfolio management

Subjects

  • Corporate Finance Beginner-Expert

  • Financial Management Beginner-Expert

  • Equity and Capital markets Beginner-Expert

  • Financial Risk management Beginner-Expert

  • Financial modelling Beginner-Expert

  • Finance Derivatives Beginner-Expert

  • Fixed Income Beginner-Expert

  • Asset liability management Beginner-Expert

  • Credit Risk Beginner-Expert

  • Derivatives and alternative Investments Beginner-Expert

  • CFA level 1 and 2

  • Quantitative analysis Beginner-Expert

  • Understanding Financial Statements Beginner-Expert

  • Commercial Banking Finance Beginner-Expert

  • Finance and Banking Beginner-Expert

  • Accounting and Financial Reporting Beginner-Expert

  • Assignment correction Beginner-Expert

  • Market risk Beginner-Expert

  • Risk Analysis and Management Expert

  • Business economics and Financial analysis Beginner-Expert


Experience

  • AVP (Jan, 2010Present) at 10 years of experience in Online tuition (all boards Accountancy,Costing,Financial Management etc..)

Education

  • CFA LEVEL 2 (Jan, 2019May, 2020) from CFA institute, US
  • Finance (Mar, 2018May, 2020) from FRM Risk management
  • FRM (Jan, 2015Jan, 2020) from Risk Management Charter Holder GARP
  • NSE capital Markets Professional (Jan, 2012Apr, 2015) from National stock exchange
  • MBA (Jan, 2007Mar, 2010) from vit university,vellore

Fee details

    SG$0.0/hour (US$0/hour)

    Fees are solely based on the difficulty of topics and also depend on the time required to perform the same and in some cases, offline preparation is required tremendously and we make you understand the clauses before accepting the projects and our clauses are straight and clear and we will start moving ahead only after the expectations from clients are clear and agreed from both the sides! since the expectations are set very clear! we are not encouraging any refunds, since we spend huge time on these tasks as well.


3 Reviews
5 out of 5

User Photo May 27, 2021

Highly recommended for Fixed Income and other Finance topics

Excellent work! The tutor took time for initial zoom chat to discuss my task and solved difficult questions in my assignment in the promised time, was always responsive in the chat and guided me through with explanations afterwards. Will get in touch again, thank you very much!


User Photo May 21, 2021

Very Supportive Experience

I approach Jagannathan to help me with my Banking Risk module. I had so many questions that he clarified using simple and informative clarification. He was very supportive and has in-depth knowledge regarding banking industry calculations and risk analysis methods. In addition to his commitment with the timings.


User Photo April 27, 2021

Highly recommend

He is helpful and finish my work in time with putting his effort. I recommend.