Krishan Tiwari
About Krishan Tiwari
Krishan Tiwari is a Senior Market Risk Manager at Investec in London, with over a decade of experience in market risk management. He holds an MBA from Saïd Business School, University of Oxford, and a Bachelor of Engineering from Chatrapati Sahuji Maharaj Kanpur University.
Work at Investec
Krishan Tiwari has been employed at Investec since 2010, serving as a Senior Market Risk Manager. In this role, he has accumulated over a decade of experience in market risk management. His responsibilities include assessing and managing risks associated with market fluctuations, ensuring compliance with regulatory requirements, and implementing risk mitigation strategies. Tiwari's tenure at Investec has allowed him to develop a strong understanding of financial markets, particularly in the context of the United Kingdom.
Education and Expertise
Krishan Tiwari holds a Master of Business Administration from Saïd Business School, University of Oxford, where he studied from 2008 to 2009. He also earned a Bachelor of Engineering from Chatrapati Sahuji Maharaj Kanpur University between 1997 and 2000. Additionally, Tiwari pursued further education at the CFA Institute from 2011 to 2013. His educational background provides him with a solid foundation in both engineering and business principles, enhancing his expertise in quantitative analysis within the financial sector.
Background
Krishan Tiwari has a diverse educational and professional background that spans multiple countries. He completed his undergraduate studies in engineering in India before advancing to business studies in the United Kingdom. His career at Investec has included roles that leverage his engineering and analytical skills, particularly in quantitative analysis. Tiwari's professional connections in both the United States and the United Kingdom contribute to his comprehensive understanding of global financial markets.
Professional Experience
With over 14 years of experience in the financial industry, Krishan Tiwari has developed a strong specialization in market risk management. His role as a Senior Market Risk Manager at Investec involves critical decision-making and strategic planning to address market risks. Tiwari's experience as a Quantitative Analyst further underscores his analytical capabilities, allowing him to effectively evaluate and manage risk exposure in complex financial environments.