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Sonal Jain

Assistant Manager (International Operations) @ Spice Digital

Vice President at Barclays Investment Bank

Greater New York City Area

Ranked #518 out of 10,351 for Assistant Manager (International Operations) in New York

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Sonal Jain's Email Addresses & Phone Numbers

Sonal Jain's Work Experience

Spice Digital

Assistant Manager (International Operations)

November 2009 to June 2010

Morgan Stanley

Associate - Investment Banking Division, Media and Telecommunications Group

May 2007 to April 2009

Barclays Investment Bank

Vice President - Global Stress Testing and Analytics Team

Greater New York City Area

Sonal Jain's Education

Carnegie Mellon University - Tepper School of Business

MSCF, Computational Finance

2010 to 2011


MBA, Finance

2005 to 2007

Jamia Millia Islamia

B.Tech, Electronics & Telecommunications

2001 to 2005

Sonal Jain's Professional Skills Radar Chart

Based on our findings, Sonal Jain is ...

Loves life

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Based on our findings, Sonal Jain is ...

52% Left Brained
48% Right Brained

Sonal Jain's Estimated Salary Range

About Sonal Jain's Current Company

Spice Digital

Frequently Asked Questions about Sonal Jain

What company does Sonal Jain work for?

Sonal Jain works for Spice Digital

What is Sonal Jain's role at Spice Digital?

Sonal Jain is Assistant Manager (International Operations)

What is Sonal Jain's personal email address?

Sonal Jain's personal email address is s****[email protected]

What is Sonal Jain's business email address?

Sonal Jain's business email address is s****[email protected]

What is Sonal Jain's Phone Number?

Sonal Jain's phone (212) ***-*269

What industry does Sonal Jain work in?

Sonal Jain works in the Financial Services industry.

About Sonal Jain

📖 Summary

Assistant Manager (International Operations) @ Spice Digital From November 2009 to June 2010 (8 months) Associate - Investment Banking Division, Media and Telecommunications Group @ Morgan Stanley From May 2007 to April 2009 (2 years) Vice President - Global Stress Testing and Analytics Team @ Barclays Investment Bank Greater New York City AreaManager - Risk Management Advisory @ Ernst & Young Accomplished New York based Manager in Ernst and Young’s Financial Services Office with multiple years of experience in banking and capital markets. An adept and agile leader, who has led multiple (million dollars and above engagements) market and credit risk management helping major financial institutions become compliant with Basel, CCAR regulations, capital management, capital adequacy and related regulatory capital engagements spanning across risk, compliance, finance, data analytics and IT functions. Recent experience involves helping US Banks and Foreign Banking Organizations in preparation for CCAR GMS and 14Q trading and counterparty Fed submissions. Team Leader with significant experience in managing engagement teams, leading project management office, working with senior leadership at the banks to create robust data governance and data lineage, attestation and validation frameworks and conducting independent verification/testing of systems and processes in their credit and market risk divisions. Prior work experience includes positions at the investment banking division at Morgan Stanley developing valuation models for Media and Telecom clients and assisted them in their M&A initiatives. From February 2012 to November 2017 (5 years 10 months) Greater New York City AreaMarket Risk Management Summer Intern @ KeyBank 1) Treasury & Balance Sheet Forecasting: Built framework for liquidity risk measurement & monitoring involving creation of balance sheet database management system in MS Access & VBA for daily monitoring of assets and liabilities buckets to capture movements associated with macro-economic trends; Submitted to Fed as white paper and procedure document to include in market risk policy for bank 2) Financial Modeling: Carried out regression analysis, model fitting and forecasting for on-balance sheet items in Cronos; Developed risk metrics model to track on and off balance sheet leverage ratios like liquidity coverage and net stable funding ratios in accordance with Basel III Standards Liquidity Risk and Interest Rate Risk 3) Capital Charge for Specific Risk: Built Internal Models Approach based model for determining capital charge for specific risk for all trading books and suggested to senior management to transition from currently implemented Standardized Approach in order to decrease capital charge, improve risk weighted assets value and capital ratios under Basel III Standard 4) CMBS Warehousing of Loans: Analyzed a loan securitization model in depth and documented pricing methodologies for treasury swaps that contributed to the real estate capital team's business case for a new product approval (CMBS) 5) Counterparty Credit Risk: Reported credit exposures through Loan Equivalent Value and Maximum Peak Exposure computations for interest rate and energy derivatives using Excel VBA and Risk Watch From June 2011 to August 2011 (3 months) Cleveland/Akron, Ohio Area

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In a nutshell

Sonal Jain's Personality Type

Extraversion (E), Sensing (S), Feeling (F), Judging (J)

Average Tenure

2 year(s), 2 month(s)

Sonal Jain's Willingness to Change Jobs



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