Sandeep Nigudkar
About Sandeep Nigudkar
Sandeep Nigudkar is a finance professional specializing in rates trading within the Global Markets Group at Indusind Bank. He has extensive experience in treasury operations, interest rate trading, and risk management, with a career spanning over two decades in various financial institutions across India and the United States.
Work at IndusInd Bank
Sandeep Nigudkar has been a part of IndusInd Bank since 2014, serving in the Rates Trading division within the Global Markets Group. His role involves managing interest rate trading activities and contributing to the bank's overall trading strategies. With nearly a decade of experience at IndusInd Bank, he has developed a strong understanding of the financial markets and the intricacies of trading operations.
Previous Experience in Financial Institutions
Before joining IndusInd Bank, Sandeep Nigudkar held several significant positions in various financial institutions. He worked as a Fund Manager in Fixed Income at Principal Financial Group for eight months in 2009-2010. Following that, he served as Associate Vice President in Interest Rates Trading at Dhanalakshmi Bank from 2010 to 2012. He also held the position of Vice President in Treasury, Fixed Income and Money Markets at Sumitomo Mitsui Banking Corporation from 2012 to 2014. Additionally, he worked as Manager in Interest Rates Trading at Union Bank of India from 2001 to 2009.
Education and Expertise
Sandeep Nigudkar has a solid educational background, having studied at the University of Mumbai. He earned a Master of Business Administration and a Bachelor of Commerce, completing his studies in Commerce from 1993 to 2001. He also attended the Indian Institute of Bankers, further enhancing his expertise in banking and finance. His academic achievements provide a strong foundation for his professional career in financial markets.
Background in Trading and Risk Management
Sandeep Nigudkar possesses extensive experience in trading government securities and corporate bonds, with a particular focus on Interest Rate Derivatives, including Overnight Index Swaps (OIS). His expertise includes strategic management of interest rate and liquidity risks, emphasizing asset-liability management and portfolio construction from a risk-return perspective. This background has equipped him with the skills necessary to navigate complex financial environments.