Senior Finance Manager with 10+ years in Investment Management, Financial Risk, and Portfolio Manage
AI is analyzing your overall score…
Identifying your key strengths…
Evaluating your skill match against the job requirements…
Assessing your cultural and operational fit
Pulkit Bhandari is a Chartered Accountant and Financial Risk Manager with over 10 years of experience in investment management, distressed assets, credit risk, and hedge fund accounting. He has a strong background in financial modeling, due diligence, equity valuation, and portfolio management, with significant exposure to stressed debt and equity opportunities in the Indian financial sector. His expertise spans deal structuring, asset resolution strategies, and financial analysis for large-scale portfolios.
Global Association of Risk Professionals (GARP)
Financial Risk Manager (FRM) · Risk Management
N/A – May 1, 2019
Institute of Chartered Accountants of India (ICAI)
Chartered Accountant (CA) · Accounting
N/A – November 1, 2015
J.C. Flowers Asset Reconstruction Private Limited
Investment Management | Associate Director
December 1, 2022 – Present
India
Yes Bank Limited
Stressed Assets Management | Assistant Vice President
May 1, 2019 – December 1, 2022
India
Royal Bank of Scotland
Credit Risk | Senior Analyst
August 1, 2017 – May 1, 2019
India
VITEOS Capital Market Services Limited
Hedge Fund Accounting | Assistant Manager
April 1, 2016 – August 1, 2017
India
Mahajan & Aibara (Pre Qualification)
Internal Audit | Senior Audit Assistant
June 1, 2012 – December 1, 2015
India
Cultural Fit Analysis
The candidate's experience spans various facets of finance, from internal audit to hedge fund accounting, credit risk, stressed asset management, and investment management. This breadth of experience, coupled with certifications like CA and FRM, indicates a strong drive for continuous learning and professional development. Their involvement in large-scale, complex financial transactions and portfolio management aligns well with the demands of a senior finance manager role, suggesting a fit for challenging and high-impact environments. The diversity of roles and responsibilities across different companies (J.C. Flowers, Yes Bank, RBS, VITEOS) points to an ability to adapt to different organizational cultures and operational models.
Soft Skills & Operational Fit
The candidate demonstrates strong analytical and problem-solving skills through their experience in risk identification, mitigation, and distressed asset resolution. Their role in coordinating workstreams and authoring investor reports suggests good communication and stakeholder management abilities. The development of processes and policies indicates an operational mindset. The diverse roles across investment management, stressed assets, credit risk, and hedge fund accounting suggest adaptability and a broad understanding of financial operations.