APAC Head – Risk & Valuations
Gaurav leads our Sellside Risk & Valuations business for the APAC region. He is responsible for the entire suite of risk management products including Front Office Risk, Collateral Management (SIMM), Market Risk (FRTB), XVA (SA-CCR), Hedge Accounting and Derivatives Valuations.
Prior to joining Bloomberg, he has worked in the corporate and investment banking industry across Asia & Europe including specializing in structuring of complex derivative products.
He holds a Bachelor of Engineering and MBA (Finance) from the M.S. University of Baroda and is also a certified Financial Risk Manager (FRM).