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Sanjeev Narayan Location
Sydney, NSW, AU
Sanjeev Narayan Work
2026 -now Senior Manager, APAC Risk @
2024 -2025 APS 117 (Interest Rate Risk in the Banking Book) Delivery Lead @
2022 -2023 Senior Manager, Market and Financial Risk Assurance @
2020 -2022 Head of Market and Liquidity Risk Management @
2018 -2019 Senior Manager - Market Risk @
2014 -2018 Head of Market Risk, Australia and New Zealand @
2010 -2014 APAC Risk Manager, Futures and Options and OTC Clearing @
2005 -2010 Market Risk Manager @
Sanjeev Narayan Education
Macquarie University
Masters (Applied Finance)
2001-2004
RMIT University
Masters (Applied Science)
1995-1997
Madras Christian College
Bachelor's degree (Statistics)
Sanjeev Narayan Skills
Derivatives
Market Risk
Equities
Fixed Income
Equity Derivatives
Interest Rate Derivatives
Risk Management
Swaps
Bonds
Liquidity
Investment Banking
FX
Interest Rate Swaps
Options
Rates
Financial Markets
Bloomberg
Stress Testing
Commodities
Commodity
Financial Modeling
Quantitative Finance
Capital Markets
FX Options
Middle Office
Trading Systems
Business Development
Strategic Planning
Customer Service
Management
Sanjeev Narayan Summary
Sanjeev Narayan, based in Sydney, NSW, AU, is currently a Senior Manager, APAC Risk at LCH. Sanjeev Narayan brings experience from previous roles at ANZ, Great Southern Bank, Sumitomo Mitsui Banking Corporation and Burgan Bank. Sanjeev Narayan holds a 2001 - 2004 Masters in Applied Finance @ Macquarie University. With a robust skill set that includes Derivatives, Market Risk, Equities, Fixed Income, Equity Derivatives and more. Sanjeev Narayan has 2 emails and 1 mobile phone numbers on RocketReach.
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