Adarsh Suvarnakanti
Derivatives Analyst at Athene- Claim this Profile
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Telugu Native or bilingual proficiency
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English -
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Hindi -
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Tamil Elementary proficiency
Topline Score
Bio
Credentials
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Bloomberg Market Concepts
Bloomberg LPAug, 2021- Nov, 2024 -
NSS
National Service SchemeMar, 2011- Nov, 2024 -
Cricket Under-16
Hyderabad Cricket AssociationMay, 2007- Nov, 2024 -
NCC-A
National Cadet CorpsApr, 2007- Nov, 2024
Experience
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Athene
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United States
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Financial Services
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700 & Above Employee
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Derivatives Analyst
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Oct 2022 - Present
• Issuing and responding to margin calls, collateral allocation, and managing the dispute resolution process and/or collateral settlement. • Management and analysis of legal document trading agreements, understanding differences among ISDAs, CSAs, and MCAs, and supporting regulatory events/changes. • Research and resolve exceptions, perform reconciliations, and actively monitor for incorrect transactions or issues. • Validate and review all daily activities while maintaining all required controls. Show less
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Societe Generale
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France
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Banking
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700 & Above Employee
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Specialist
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Jun 2019 - Aug 2020
• Managing the entire product life cycle of loans and deposits, Indexed and structured deposits, FX, and IRD products. • Collaborated with internal teams to avoid settlement risk; served as a key contact for internal and external audits. • Driven operational improvements that resulted in cost savings and higher profit margins. • Managing the entire product life cycle of loans and deposits, Indexed and structured deposits, FX, and IRD products. • Collaborated with internal teams to avoid settlement risk; served as a key contact for internal and external audits. • Driven operational improvements that resulted in cost savings and higher profit margins.
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Barclays Corporate & Investment Bank
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United States
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Financial Services
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700 & Above Employee
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Senior Analyst
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Jan 2018 - Jun 2019
• Managing the entire product life cycle of equity derivatives such as equity swaps, equity OTC options, equity-linked notes, and other equity financing products. • Data management to support analytics and reporting in the front office, middle office, and finance. • Working closely with the Cash Management and Portfolio Finance Teams to ensure collateral and firm wallet optimization throughout the life cycle of all derivative-related collateral. • Managing the entire product life cycle of equity derivatives such as equity swaps, equity OTC options, equity-linked notes, and other equity financing products. • Data management to support analytics and reporting in the front office, middle office, and finance. • Working closely with the Cash Management and Portfolio Finance Teams to ensure collateral and firm wallet optimization throughout the life cycle of all derivative-related collateral.
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BNP Paribas
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France
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Banking
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700 & Above Employee
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Senior Analyst
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Apr 2015 - Jan 2018
• Assist multiple derivatives trading desks with trade bookings, allocations, and settlements for a high volume of trades. Full accountability for transaction setup, affirmation/confirmation, and tracking of terminations, resets and adjustments, and payments. • Assist in the reconciliation of positions to counterparty marks and internal systems; resolve positions and cash breaks; re-capture trades. • Adherence to regulations such as EMIR, ASIC, MIFID2. Collaborate with collateral and valuation teams to resolve regulatory and compliance issues. Show less
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Anush Shares and securities Pvt Ltd
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India
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Financial Services
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1 - 100 Employee
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Consultant
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Jan 2015 - Mar 2015
Created an Algorithm for trading in Nifty Futures using Technical Indicators such as PSAR, ADX, Slow Stochastics, and Super Trend with an 80%-win ratio for the organization, which is still used daily. Created an Algorithm for trading in Nifty Futures using Technical Indicators such as PSAR, ADX, Slow Stochastics, and Super Trend with an 80%-win ratio for the organization, which is still used daily.
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TOPXIGHT LABS
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United States
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Software Development
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1 - 100 Employee
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Strategy Consultant
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Nov 2014 - Jan 2015
• Worked on both statistical and fundamental methods on an interactive app using simulation techniques that allows to visualize stocks, learning concepts, making financial decisions, and create trades like a portfolio manager. • Developed curriculum and course content for multiple trading strategies including trading techniques, fundamental analysis, ratio analysis and risk management. • Introduced mean reversion technique into the beta version. • Back-tested beta version of the app. Show less
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Education
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Gatton College of Business and Economics
Master's degree, Finance, General -
VIT BUSINESS SCHOOL
Master of Business Administration - MBA, Finance, General -
Vellore Institute of Technology
Bachelor of Business Administration - BBA, A