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PRABHLEEN KAUR KOHLI Leap Scholar Ltd, Operations Intern (Dec’21-Feb’22)

• Enhanced MS-Excel and PowerPoint skills leading to


24 Cloister Square, Blackrock| Mobile: +353 874858023| a 30% improvement in data analysis and presentation
Email: prabhleenkaur3102@gmail.com quality.
LinkedIn: www.linkedin.com/in/prabhleen-kaur- • Managed CRM for business insights and was
4791a4227 recognized as top performer of the month.
• Improved cold calling and raised lead conversion by
5%.
SUMMARY
Finance Oak Ltd, Social Media Content Creator (Dec’20-
Feb’21)
Adept in financial data synthesis, committed to • Supervised and modified financial content on social
enhancing operational efficiency and fostering strategic media, boosting audience engagement by 35%.
growth. Demonstrates adaptability and excellence, • Researched and simplified complex 50 financial topics
poised for success in dynamic finance environment. for broader accessibility.
Collaborative and communicative team player. • Led a content team of 7, optimizing task allocation and
workflow to improve content delivery times by 20%.
EDUCATION
POSITIONS OF RESPONSIBILITY
MSc. Finance| Aug’23-July’24| University College
Dublin, Ireland
Vrikshit Foundation, Volunteer (12/2020 - 05/2022) | Quest
B.A(Hons) Economics| Oct’20-July’23|University of Society, Coordinator (03/2021 - 05/2022) |Debating Society,
Adjudicator (11/2020 - 09/2021)
Delhi, India| (G.P.A: 8.44/10)

CBSE(AISSCE)|April’19-July’20| S.S.Mota Singh Sr. ACADEMIC PROJECTS


Sec Model School, India| (90.3%)

Key modules covered to date: Equity Asset Valuation

Equity Asset Valuation, Derivative Securities, Empirical • Performed comprehensive DCF valuation of Wynn
Corporate Finance, Fintech, Ethics, Banking, Data and Resorts using FCFF; analyzed financials, computed
Financial Risk Analysis, Stock Markets Investments, WACC, and forecasted future cash flows.
Quantitative methods for finance, Econometrics, Capital
Markets and Instruments, Financial Economics, Valuation of S&P 500 FIRM
Research, Portfolio & Risk Management, Strategic
Finance, Statistical Methods for Economics. • Executed financial analysis on a top S&P 500
company, assessing value and growth using
fundamental analysis and Markowitz's Portfolio
TECHNICAL AND SOFT SKILLS Theory.
Portfolio Evaluation and Risk Modelling
Advanced MS-Excel| Power Point| MS-Word| Stock
Market Analysis| Forecasting| Python| MATLAB| AI • Assessed $3M portfolio risks, constructed MV
Proficiency| Team Working| Communication & Problem frontiers, evaluated investment strategies, optimized
Solving| Critical Thinking| Leadership| Content Writing| asset allocation and risk controls.
Research| Quantitative Analysis| Risk Analysis
Comparative Analysis of NPA Trends in Public and
Private Sector Banks
WORK EXPERIENCE
• Investigated Non-Performing Assets in 10 banks,
identifying key risk trends.
Kotak Mahindra Bank Ltd, Finance Intern (July’22 –
Sep’22) LANGUAGES
• Developed expertise in financial tools, leading to
the creation of detailed financial reports and
saving time up to 30 hours per week. English (Native) | Spanish (Limited Working Proficiency) |
• Analyzed project profitability, identifying key Hindi (Native) | Punjabi (Professional Working Proficiency)
factors affecting profits and losses.
• Boosted team productivity by 25% through
INTERESTS AND HOBBIES
intensified collaboration techniques and
streamlining content development processes.
Stock Trading | New Languages| Travel | Podcasts| Reading

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