Vishwas Bhushana FRM-Financial Risk Management
2 Reviews

I bring vast in-depth subject knowledge of Finance and Risk Management coupled with versatile hands-on industry experience with me. I am a certified Financial Risk Manager from GARP and an MBA in Finance and I am willing to share my expertise. As a student I have always enjoyed learning new concepts and I am here to extend that joy by helping others learn new things. If you are looking to learn/understand any topics under the umbrella of finance better, then we can connect and I will see to that I help you gain.


  • Finance (Beginner-Expert)

  • Financial Management (Beginner-Expert)

  • CFA (Beginner-Expert)

  • Derivatives (Beginner-Expert)

  • Financial derivatives (Beginner-Expert)

  • Financial Risk management (Beginner-Expert)

  • FRM Level I (Beginner-Expert)

  • FRM Level II (Beginner-Expert)

  • Fixed Income (Beginner-Expert)

  • Credit Risk (Beginner-Expert)

  • MBA Finance (Beginner-Expert)

  • Market risk (Beginner-Expert)


  • Business Analyst- Market Risk (Apr, 2019Present) at Societe generale, Bangalore
  • Regulatory Risk Analyst (Mar, 2018Mar, 2019) at Oracle Financial Services Software(OFSS), Bangalore
  • Associate (Oct, 2015Feb, 2018) at Moodys Analytics
  • Senior Associate (Aug, 2014Sep, 2015) at Genpact


  • FRM (May, 2017Nov, 2019) from GARP USA
  • MBA-Finance (Oct, 2012Jul, 2014) from PESIT Bangalore

Fee details

    2,000/hour (US$27.39/hour)

2 Reviews
5 out of 5

User Photo May 22, 2021


Great tutors, they really helped me studying for the exam!! Recommended

User Photo May 15, 2021

The Best Financial Derivatives Help you can get

He is the best help you can find on Financial derivatives and FRM. He was able to find the mistakes the lecturer has made and corrected them. I would recommend to everyone