Quantum Advisors (QASL) India’s premier equity research company has over 25 years of experience and 41 years of collective experience in Indian equity that lived through many bull and bear cycles. Our founders have worked with global money managers and adhere to high standards of ethics and transparency. Quantum Advisors pioneered a quantitative as well as qualitative analytical approach to equity investing in India, providing for the first time, consistently applied valuation metrics to evaluate investment opportunities in India’s emerging stock markets. Over the years, Quantum Advisors has continued and enhanced its tradition of extensive financial analysis and value investing, as it has evolved into an investment advisor and asset manager.
As one of the first portfolio managers to adopt a fundamental approach to investing in Indian equities and having worked with leading fund managers in the United States, Europe, and Asia, Quantum Advisors has positioned itself to help international investors to capitalize on the investment opportunities in the Indian markets while being appraised of some of the unique risks associated with such opportunities.
Establish and monitor key risk indicators, as well as implement corrective action plans to mitigate risks.
Analyze transactions, internal reports and financial information for potential fraud risks.
Maintain reports of significant risks and recommendations.
Create policies, procedures and control assessments in response to identified risks.
Proactively identify and address risk issues and weakness in existing products, policies and processes.
Evaluate the effectiveness of the company's internal control framework in addressing risks and accomplishing the company's goals and objectives.
Provide training and technical support to employees regarding risk management strategies and programs.
Liaison with Business functions to update Risk Registers, Risk Management Manual.
Ensure effectiveness of Business Continuity Plans.
Key Contributor to establishing the evolving risk culture.
Manager/ Sr. Manager Risk Control
Education:UG -Graduation Not Required, Any Graduate - Any Specialization
PG - CA, MBA/PGDM - Any Specialization, Finance
Doctorate - Doctorate Not Required, Any Doctorate - Any Specialization