Alvin Nair, CFA
Head Financial Engineer at NAV Capital Limited- Claim this Profile
Click to upgrade to our gold package
for the full feature experience.
-
English Competencia profesional completa
-
Hindi Competencia básica limitada
-
Arabic Competencia básica
Topline Score
Bio
Credentials
-
Diploma in Financial Trading
Shaw Academy -
Chartered Financial Analyst (CFA)
CFA Institute
Experience
-
NAV Capital Limited
-
United Arab Emirates
-
Financial Services
-
1 - 100 Employee
-
Head Financial Engineer
-
ene. de 2022 - - actualidad
-
-
-
Picard Angst
-
Switzerland
-
Financial Services
-
1 - 100 Employee
-
Head Financial Engineer
-
feb. de 2020 - ago. de 2020
-
-
Financial Engineer
-
ene. de 2017 - feb. de 2020
- Pricing of Structured Financial Products based on the customer's risk profile- Tracking the volume traded and volatility of various financial assets- Formulating combinations of underlying's to be included in the Investment Product, based on current market conditions- Negotiation with a diverse number of issuers
-
-
-
Emirates
-
United Arab Emirates
-
Airlines and Aviation
-
700 & Above Employee
-
Aircraft Financing Intern
-
oct. de 2016 - ene. de 2017
- Assisting in evaluation of fixed rate vs. floating rate loan profiles, evaluating options and tracking potential savings - Assisting in the research of possible bond issuance by comparing maturities, swap rates and types of bonds- Assisting in preparing, analyzing, comparing and presenting quarterly results of the organisation- Assisting in preparing presentations to potential investors- Updating and maintaining the organisation's database on loan agreement and bank appetite
-
-
-
Strategy&
-
United States
-
Business Consulting and Services
-
700 & Above Employee
-
Finance Intern
-
may. de 2016 - jul. de 2016
- Validating petty cash receipts to the reimbursement forms- Requesting for statements from vendors- Reconciling vendor statements with the general ledger balances- Validation of payment instructions against the vendor master data files- Assistance in preparing bank reconciliations - Validating petty cash receipts to the reimbursement forms- Requesting for statements from vendors- Reconciling vendor statements with the general ledger balances- Validation of payment instructions against the vendor master data files- Assistance in preparing bank reconciliations
-
-
-
BusinessBid eProcurement Software
-
United Arab Emirates
-
Software Development
-
1 - 100 Employee
-
Business Development Executive Intern
-
dic. de 2015 - feb. de 2016
- Build vendor profile- Update existing and increase data on current vendors and potentials- Point of contact to potential vendors- Providing brief understanding of the business model - Build vendor profile- Update existing and increase data on current vendors and potentials- Point of contact to potential vendors- Providing brief understanding of the business model
-
-
-
GSF Frozen Foods
-
United Arab Emirates
-
Manufacturing
-
1 - 100 Employee
-
Finance Intern
-
jul. de 2014 - sept. de 2014
- Formulating a Balance Sheet, Bank Reconciliation Statement, Cash Flow Statement - Preparation of mentioned documents completed within the given deadline - Minimal training required due to prior academic experience in accountancy - Trained and familiarized with Tally ERP 9 as an integral part of the internship - Formulating a Balance Sheet, Bank Reconciliation Statement, Cash Flow Statement - Preparation of mentioned documents completed within the given deadline - Minimal training required due to prior academic experience in accountancy - Trained and familiarized with Tally ERP 9 as an integral part of the internship
-
-
Education
-
Heriot-Watt University
Bachelor’s Degree, Financial Planning and Services -
Our Own High School Dubai, U.A.E
High School Diploma, Business/Commerce, General