Partner and Leader, Financial Risk and Regulation
Kuntal has over 24 years of experience as an Economist, Banker and Risk Management Consultant with number of leading financial institutions and corporate on risk strategy and governance, analytics & Basel issues. He is also advising corporate on currency & commodity risk management, hedge strategy, hedge instruments and pricing.
His clients include leading Foreign, Regional, PSU banks and NBFCs. He has managed cross functional implementation and sales team for India, ASEAN, UK, Middle East and Africa markets.
Authored a chapter in a book “Managing Illiquid Assets: Perspectives and Challenges” published by Risk Books, London.