Rahul Saini, MBA, B.Eng
About Rahul Saini, MBA, B.Eng
Rahul Saini is an Associate in Corporate Banking at CIBC with expertise in derivatives, FX trading, and regulatory frameworks.
Current Position at CIBC
Rahul Saini currently holds the title of Associate in Corporate Banking at CIBC. He has been in this role since 2013, working in the Toronto, Canada area. His responsibilities include leveraging his expertise in derivatives and FX trading to manage financial risks. Additionally, he utilizes advanced Excel and VBA skills to support valuation functions in the equities and debt capital markets.
Previous Roles at CIBC
Rahul Saini has held multiple positions at CIBC. From 2012 to 2013, he worked as a Senior Financial Analyst in Capital Management for 11 months. Prior to this, he was a Financial Analyst from 2011 to 2012, a role he held for 9 months. Throughout his tenure at CIBC, he demonstrated a strong understanding of regulatory frameworks such as BASEL III and Sarbanes Oxley, ensuring compliance within the banking sector.
Experience at Mercedes Benz Canada
Before his tenure at CIBC, Rahul Saini worked at Mercedes Benz Canada as a Corporate Financial Analyst from 2010 to 2011, a period of 11 months. In this position, he utilized his financial analysis skills to support corporate decision-making processes. His expertise in managing and analyzing large datasets was enhanced by his knowledge of SQL.
Education and Academic Background
Rahul Saini completed an International MBA (IMBA) at the Schulich School of Business - York University, focusing on Finance and International Business from 2009 to 2011. He also holds a Bachelor of Engineering (B.E.) in Electrical and Electronics Instruments Control from Thapar Institute of Engineering & Technology, which he completed between 2003 and 2007. His education has provided him with a strong foundation in both technical and financial disciplines.
Skills and Expertise
Rahul Saini possesses advanced skills in derivatives and FX trading, crucial for managing financial risks in the corporate banking sector. He is proficient in using Excel and VBA for valuation functions in equities and debt capital markets. Additionally, he has a strong grasp of regulatory frameworks like BASEL III and Sarbanes Oxley, essential for ensuring compliance within the banking industry. His knowledge of SQL aids in the management and analysis of large datasets within financial operations.