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Finance tutoring by an experienced private equity professional.
Welcome to my finance tutoring profile! I bring 5+ years of experience from the world of investment banking and private equity at several global firms. Currently, I'm working as a growth equity investor at a pan-European private equity fund where I continue to refine my industry experience.
Before pursuing a career in corporate finance, I earned multiple finance degrees at business schools in Sweden and Germany. I have earlier in my career worked in Stockholm, London and Switzerland.
I offer personalized tutoring in various finance-related subjects, including but not limited to financial modeling, investment analysis, corporate finance, and more. I tailor my lessons to your specific needs and goals.
To begin, I have a bachelor's degree in finance and an MBA from GUST University. Currently, I am a PhD candidate at UKM Graduate School of Business, which is one of Asia's premier business schools, as well as one of the world's top 200 international institutions according to QS rankings.
Furthermore, I have been teaching finance and economics as a part-time instructor and private tutor in Kuwait since 2015.
Finance tutor - Visiting faculty for banks and business schools.
Ajay manages a strategy consulting firm that assists technology-centric businesses in scaling.
Current areas of focus include fintech, ed-tech, and risk-tech.
He co-founded a technology and consulting firm headquartered in India, which had offices in Singapore, Malaysia, Mauritius, and the US (although he has now exited the company).
Ajay has worked with leading financial technology firms in the Asia Pacific to oversee their financial risk management practices and product management teams.
Furthermore, Ajay conducts both public and in-house workshops on finance, risk management, and innovation in financial services.
Take courses like financial management, corporate finance, financial markets, and banking. I am located in Manama, and you can always reach out to me for your academic problems in the field of finance using.
Experienced Finance Lecturer | Expert in Finance and Investments | Online Learning
I am an experienced lecturer specializing in Investment Management, Financial Management, and Managerial Accounting. Based in Johannesburg, I bring over 3 years of teaching and industry experience to help students master complex financial concepts with ease. My teaching style is interactive, practical, and tailored to each learner’s needs—whether you're a beginner or an advanced student. I focus on real-world applications, ensuring my students not only understand finance but also know how to apply it in business and investment decisions. Let’s make finance simple and practical together!
Product specialist with real-life work experience. Taught Financial concepts and provided resume coaching.
Product specialist currently working in a private bank. Familiar with myriad financial products and financial markets. Have coached students in resume writing and interview preparation to secure your best chance at a career in finance.
Currently teaching:
- Finance 101
- stock selection
- portfolio management and real life application
- Bloomberg
Experience on both sell side and buy side, with the ability to navigate complex and evolving financial environment.
Professional Overview
With over 11 years of experience in Capital Markets Risk Management within Investment Banking, I currently support BNP Paribas as a consultant in the Wealth Management domain. I specialize in business analysis, requirement gathering, and delivering risk management solutions across front, middle, and back-office operations.
I have extensive experience in credit risk, market risk, and operational risk across multiple asset classes. At UOB, I worked on a 2-year end-to-end implementation project, where I gained comprehensive knowledge and played a key role in delivering credit risk solutions, collaborating with a team of 3 and business users to ensure successful project outcomes.
My career also includes significant experience at Wells Fargo and recognition.
Key Expertise
- Risk Management: Credit, Market, Operational Risk
- Trading & Asset Classes: Equities, Options, Swaps, Derivatives, Commodities, Futures
Hands-On Experience
- Trading Platforms: Fidelity, Think or Swim, TD Ameritrade, Tiger Trade, Bloomberg, Morningstar
- Risk Management Concepts: Deep knowledge of trade life cycles and investment banking intricacies.
Certifications & Qualifications
- FRM Certification
- Passed CFA Level 1 Exam
- MBA in Finance
Experienced Finance professional and tutor: simplifying concepts for your success.
Hello, I am a seasoned finance professional eager to guide students through the realms of finance, business, and economics. Armed with a Master's in Applied Economics and over a decade of industry experience, I offer comprehensive tutoring for A-levels and university students.
From banking, corporate finance, and investments, my diverse background has sharpened my expertise in economic analysis, investment strategies, and risk management. Now, I'm thrilled to share my insights and help students excel in their studies.
Whether you're navigating financial analysis, exploring business strategies, or preparing for exams, I'm here to provide dedicated support. My tutoring approach is tailored to each student's needs, emphasising simplicity, critical thinking, and real-world applications of key concepts in finance, business, and economics. Let's embark on this academic journey together, unlocking the complexities of these subjects for your success.
Interview preparation for banking, former Goldman Sachs banker
Hi, my name is Fred. I was a banker at Goldman Sachs for 11 years, and I would love to help any university students with their interview preparations for any banking job applications. I used to interview for summer and first-year analyst positions.
12 years of financial markets and risk management experience.
1) 12+ years of experience in investment banking, capital (stock) markets of India & U.S.
2) In-depth knowledge of financial derivatives, trading, and portfolio management.
3) 360-degree view of risk management across credit, market, and operational risks.
4) Good understanding of BASEL risk regulations.
5) Precise knowledge in investment banking capital markets division.
6) Good product knowledge across asset classes i.e. equities, options, swaps, bonds, futures, asset & liability management.
7) Hands-on experience in risk management i.e. value at risk, stress testing, Monte Carlo simulations.