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Kumar Nittin
+91-99309 28743
pg13kumar_n@mandevian.com
Work Experience – 53 months
TresVista Financial Services Ltd, Mumbai
Associate
April '15 – Present (17 months)
 Hands-on experience on multiple deliverables, focused across industries
 Financial Modelling and Analysis: Worked on dynamic financial models using high-end analysis for blue chip stocks listed in
the US. In-depth analysis on the assumptions used, concentrating especially on most sensitive variables and variables that will be
most prominent. Testing the assumptions using industry size and assumed market share based on research
 Energy Sector Research: Carried out extensive research on North American energy sector (Infrastructure MLPs, Upstream,
Integrated, Downstream, Oil Services), identified the key metrics for each sub-sector, created score card using the metrics, found
under-valued stocks, back-tested the result since 1999 to check our analysis by finding the correlation between metrics used and
share price return
 Portfolio Diversification: Carried out the exercise to prove that portfolio diversification does not give good result after a
certain number of stocks using all the 500 stocks of S&P
 Investment Banking: Carried out debt and equity financing for companies in Africa, doing macro-economic research for the
home country, industry analysis and company analysis
 Private Equity: Worked closely with private equity client based out of Europe, thereby building various PE financial models,
due diligence, IMs, investor presentations, bond analysis and current portfolio analysis
 Bloomberg, FactSet and CapIQ: Created comprehensive templates on all three platforms for analysing equities, bonds and
macroeconomic conditions
PricewaterhouseCoopers, Kolkata
Consultant
November'12 – May'13 (07 Months)
 Worked on one of the largest and complicated SAP project for Reliance, completing significant number of project modules
International Business Machines India, Kolkata
Consultant
June '10 – October '12 (29 Months)
Education
Year Qualification Institute CGPA/%
2015 PGDM (Finance) MDI Gurgaon 5.92/10
2010 BE (IT) Jadavpur University, Kolkata 8.16/10
2004 XII, CBSE Holy Mission Public School, Bihar 73.4%
2002 X, CBSE Gems English School, Bihar 88.0%
Key Courses: Corporate Restructuring and Business Valuation, Financial Risk and Management, Investment Management
 Secured 717 rank in Graduate Aptitude Test in Engineering in a field of 43170
 Selected for Indian Institute of Science Education and Research(IISER) on the basis of IIT-JEE score
2009
2006
Academic Projects
Operational Risk
Modelling practices in
Indian Banking Sector
Calculation of operational risk of Canara Bank, SBI and HDFC Bank using Basic Indicator Approach,
Standardized Approach and Alternative Standard Approach
(Course: Financial Risk and Management)
Oil price shocks on Indian
Economy
Effect of oil price on macroeconomic variables of India viz: Exchange rate, IIP, inflation, interest rate
and foreign exchange using Vector Auto-regression (VAR) along with Granger Causality to find short
run impact and Co-integration test for long run causality
(Course: Modelling and forecasting of Energy and Financial Markets)
Extra Curricular Activities
 Country Analyst, India, Monetrix– The Finance and Economics Club of MDI, Gurgaon
 In-depth analysis of Indian economy by understanding the impact of government policies, monetary policy, judiciary as well as
the effect ofpolicies of major economies of the world
Key Interests
 Reading about major financial events such as The Great Depression, Sovereign Debt Crisis, Dot-com Bubble, 2008 Financial Crisis

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CV_Kumar Nittin

  • 1. Kumar Nittin +91-99309 28743 pg13kumar_n@mandevian.com Work Experience – 53 months TresVista Financial Services Ltd, Mumbai Associate April '15 – Present (17 months)  Hands-on experience on multiple deliverables, focused across industries  Financial Modelling and Analysis: Worked on dynamic financial models using high-end analysis for blue chip stocks listed in the US. In-depth analysis on the assumptions used, concentrating especially on most sensitive variables and variables that will be most prominent. Testing the assumptions using industry size and assumed market share based on research  Energy Sector Research: Carried out extensive research on North American energy sector (Infrastructure MLPs, Upstream, Integrated, Downstream, Oil Services), identified the key metrics for each sub-sector, created score card using the metrics, found under-valued stocks, back-tested the result since 1999 to check our analysis by finding the correlation between metrics used and share price return  Portfolio Diversification: Carried out the exercise to prove that portfolio diversification does not give good result after a certain number of stocks using all the 500 stocks of S&P  Investment Banking: Carried out debt and equity financing for companies in Africa, doing macro-economic research for the home country, industry analysis and company analysis  Private Equity: Worked closely with private equity client based out of Europe, thereby building various PE financial models, due diligence, IMs, investor presentations, bond analysis and current portfolio analysis  Bloomberg, FactSet and CapIQ: Created comprehensive templates on all three platforms for analysing equities, bonds and macroeconomic conditions PricewaterhouseCoopers, Kolkata Consultant November'12 – May'13 (07 Months)  Worked on one of the largest and complicated SAP project for Reliance, completing significant number of project modules International Business Machines India, Kolkata Consultant June '10 – October '12 (29 Months) Education Year Qualification Institute CGPA/% 2015 PGDM (Finance) MDI Gurgaon 5.92/10 2010 BE (IT) Jadavpur University, Kolkata 8.16/10 2004 XII, CBSE Holy Mission Public School, Bihar 73.4% 2002 X, CBSE Gems English School, Bihar 88.0% Key Courses: Corporate Restructuring and Business Valuation, Financial Risk and Management, Investment Management  Secured 717 rank in Graduate Aptitude Test in Engineering in a field of 43170  Selected for Indian Institute of Science Education and Research(IISER) on the basis of IIT-JEE score 2009 2006 Academic Projects Operational Risk Modelling practices in Indian Banking Sector Calculation of operational risk of Canara Bank, SBI and HDFC Bank using Basic Indicator Approach, Standardized Approach and Alternative Standard Approach (Course: Financial Risk and Management) Oil price shocks on Indian Economy Effect of oil price on macroeconomic variables of India viz: Exchange rate, IIP, inflation, interest rate and foreign exchange using Vector Auto-regression (VAR) along with Granger Causality to find short run impact and Co-integration test for long run causality (Course: Modelling and forecasting of Energy and Financial Markets) Extra Curricular Activities  Country Analyst, India, Monetrix– The Finance and Economics Club of MDI, Gurgaon  In-depth analysis of Indian economy by understanding the impact of government policies, monetary policy, judiciary as well as the effect ofpolicies of major economies of the world Key Interests  Reading about major financial events such as The Great Depression, Sovereign Debt Crisis, Dot-com Bubble, 2008 Financial Crisis