Gaurav Kumar Patwary is a risk management professional with over two years of experience in model risk management for quantitative finance-based models used in the Asset Management division of a multinational bank. He holds a Bachelor’s degree in Economics from St. Xavier’s College, Kolkata, and a Master’s degree in Economics from Delhi School of Economics. Additionally, he has cleared 7 out of 13 actuarial papers from the IAI. During his work, he has also gained hands-on experience in Python, developing codes to test and challenge various aspects of models, further enhancing his technical skillset. His academic background and industry experience provide a strong foundation in statistics, economics, and finance.