Open to work Authorised to work in Ireland

Meet Suraj in 79 seconds.

Investment Analyst at SSP, Dublin. MSc Finance, Dublin City University. CFP qualified.

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Video resume · 79 sec Download CV (PDF)
About
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Years in financial services
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Companies analysed with Python & data analysis
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SWOT analyses, 15+ recommendations across 5 exchanges
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Hours a month saved with automation
Suraj Mehetre

Finance professional with 3.5+ years in financial services. At SSP in Dublin I reconcile trades, resolve trade breaks and produce performance attribution across equity, fixed income and multi-asset mandates, and I build the DCF and scenario models that go into investment committee presentations.

MSc Finance · Dublin City University
Conferred 10 February 2026
Experience

Three Roles, From
Mumbai to Dublin

From three-statement models and reporting automation in Mumbai to post-trade reconciliation and performance attribution for portfolio managers in Dublin.

Download CV ↓
Current
Apr 2025 – Present
Investment Analyst
Service Select Partner (SSP) · Dublin
  • Daily post-trade reconciliation and trade documentation review across equity, fixed income and multi-asset mandates
  • Trade break identification and resolution, coordinating across teams to maintain data integrity
  • Built DCF models and scenario analyses for investment committee presentations
  • Daily performance attribution reports and market updates using Bloomberg
Jan 2024 – Aug 2024
Investment Analyst
DssWorld Pvt Ltd · Mumbai
  • Investment presentation decks and portfolio performance summaries for client meetings
  • Performance analytics for 10+ client portfolios using Bloomberg and Excel
  • Fact-find documentation and trade support materials in line with suitability and regulatory requirements
Jun 2022 – Dec 2023
Finance Internship (Investment Team)
DssWorld Pvt Ltd · Mumbai
  • Three-statement financial models and DCF frameworks, scenario outputs with under 7% forecast variance
  • Pre- and post-cashflow analysis across client portfolios for investment committee presentations
  • Automated recurring reporting, saving 20+ hours per month
Work samples

Models, Research and
Code Built on Real Data

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DCF models for private and public markets

EV ride-share startup · share price€274
NVIDIA · base case$182.95
NVIDIA · bear / bull$118.82 / $233.06
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Equity research reports

MethodDuPont ROE, ratios, peers
IEX EV/EBITDA, FY22 → FY2447.7x → 24.5x
FTSE 100 price, log returns with estimated drift, and fitted random walk with drift

Python: random-walk test on 20 years of FTSE 100

Volatility17.4% p.a.
Drift~3.3% p.a.
StationarityADF test
Income statement, lower case scenario Income statement, upper case scenario Upper caseLower case
Scenario modelling · EV ride-share startup, Norway · 5-year model
Year-5 profit €2.97M vs €2.10M

NVIDIA figures use illustrative model assumptions and are not investment advice. Drag the slider to compare scenarios.

Projects

Research, Models
and Reports

Read my research paper ↗
PDF
Research paper · MSc Finance, DCU

The Influence of ESG Performance on Firm Valuation in Capital Markets

Panel study of 1,789 listed companies across Tokyo, Shanghai, NSE India, London and Paris, 2020–2024, using Tobin's Q and Refinitiv Eikon data.

44 pages · 1.4 MB
Slides
Research presentation

ESG Performance and Firm Valuation: Research Presentation

Research design, the ESG gap between Asia and Europe, regression results, robustness checks and practical implications.

21 slides · 1.9 MB
PDF
Equity research

Equity Research Report: Indian Energy Exchange (IEX)

Revenue model, technical analysis (RSI, Bollinger bands, moving averages), corporate governance, sales forecasting, peer comparison, a forecast three-statement model, DCF valuation, DuPont and ratio analysis. Academic project.

25 pages · 5.1 MB
Excel
Financial model · Public markets

NVIDIA DCF & Scenario Model

Historicals, five-year forecast, DCF with a WACC × terminal-growth sensitivity grid, and bear / base / bull / severe-downside scenarios. Illustrative assumptions, not investment advice.

Excel · 6 tabs · 29 KB
PDF
Financial model · Private markets

EV Ride-Share Startup, Norway: Scenario & DCF Model

Five-year income statements under upper and lower case assumptions, then terminal value, discounting and an implied share price of €274.

Also: 10-year FCF & NPV schedule (CSV)
3 pages · 1.9 MB
Slides
Python · Asset pricing

Random Walk Hypothesis: Testing Market Efficiency on the FTSE 100

Random walk with drift fitted to 20 years of daily FTSE 100 and Imperial Brands prices: drift, volatility and an ADF stationarity test.

2 slides · 1.0 MB
Credentials

Qualifications and
Continuous Training

Download CV ↓
2026
MSc Finance, Dublin City University
Conferred 10 Feb 2026. Corporate Finance, Asset Pricing, Derivatives, Risk Management, Quantitative Methods.
CFP
CFP qualified
Investment Planning and Retirement & Tax Planning modules passed; CFP Final passed.
2026
Goldman Sachs Risk Job Simulation
Forage. Introduction to risk; evaluating client profiles and real estate investments.
2025
McKinsey.org Forward Program
Structured problem-solving, communication and a foundational digital toolkit.
2024
Business Intelligence using Power BI
Skill Nation, two-day workshop.
2024
Financial Modelling Workshop
Jobaaj Learnings.
QFA
Qualified Financial Adviser
In progress. Irish regulatory framework and MiFID II suitability obligations.
Course
Python for Finance · Trading Financial Instruments
DataCamp; equity & derivatives product knowledge.
2022
BEng Instrumentation Engineering
Mumbai University, 2018–2022. 1st place, IEEE Technical Event.
Open to work

Roles I'm Actively
Looking For

Middle Office
Available immediately
Get in touch →

What I bring

  • Post-trade reconciliation
  • Trade break resolution
  • Trade capture & settlement support
  • Fixed income, FX & swaps
Investment Analysis
Available immediately
Get in touch →

What I bring

  • 20+ DCF & three-statement models
  • 15+ equity research reports
  • Scenario & sensitivity analysis
  • Bloomberg & Refinitiv Eikon
Asset Management
Available immediately
Get in touch →

What I bring

  • Performance attribution
  • Multi-asset portfolio analysis
  • Analytics for 10+ client portfolios
  • Investment presentations & NAV calculation for portfolio managers
FAQs

For Recruiters,
Answered

Skills

The Toolkit

Valuation & Modelling

DCFThree-statement modelsScenario & sensitivityEquity researchDuPont analysisSWOT analysisInvestment presentations

Investment Operations

Trade lifecycleNAV calculationPost-trade reconciliationTrade break resolutionTrade capture & settlementPerformance attribution

Markets & Products

Fixed incomeBondsFXDerivativesSwapsOTC instrumentsMulti-asset

Tools

BloombergRefinitiv EikonExcel & VBAPower BIPython

Let's talk.

Actively looking for roles in Middle Office, Investment Analysis and Asset Management.

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© 2026 Suraj Mehetre · Dublin, IrelandFinance, shipped.