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Sanyam Gangwal, Senior Investment Analyst

Sanyam Gangwal

Senior Investment Analyst·Leyline Capital ($300M+ Fund)

United States

Master's degree, Economics

Work experience

Total years of experience: 3 years, 8 months

Senior Investment Analyst

January 2024 - Present

Leyline Capital ($300M+ Fund)

New York, United States

January 2024 - Present

Led underwriting and execution of $7M-$50M investments by building financial models incorporating sensitivity analysis, stress testing, and multi-scenario frameworks, while managing due diligence, legal documentation, and stakeholder coordination from screening through close. Reviewed 150+ investment opportunities, advancing 9 through the Investment Committee process and contributing to $110M+ of closed transactions. Served as primary relationship manager for four portfolio holdings, overseeing counterparty engagement and monthly reporting. Supported capital-raising efforts through the development of investor presentations, offering memoranda, financial summaries, and term sheets, while engaging directly with LPs and co-investors throughout fundraising processes. Sourced and evaluated deal flow through investment banks, developers, operators, and industry networks, prioritizing opportunities based on fund mandate and investment criteria. Monitored portfolio performance through operational and financial reporting, identifying key trends and variances to support value creation and strategic decision-making. Selected transactions include Concord New Energy Group (SGX: SEG) ($48M, Investment Lead & Relationship Manager, Term Sheet Stage), Accelergen ($15M, Upsize Lead & Investment Manager, Closed), and Summit Ridge Energy ($22M, Lead Analyst, Closed).

Company industry:
Investment, Securities & Funds

Private Equity Analyst

January 2023 - January 2023

Suisseblocks

New York, United States

January 2023 - January 2023

Conducted DCF and LBO analyses across 15+ companies with enterprise values ranging from $500K to $4.5M, evaluating cash flow sustainability, leverage capacity, and key risk factors to support deal structuring and investment decisions. Designed a proprietary investment model to standardize future transaction evaluations, incorporating dynamic waterfall mechanics to calculate distribution allocations and sponsor-level returns across varying deal structures. Performed competitive intelligence on 25+ private equity funds, benchmarking management fees, carried interest arrangements, and LP terms, and synthesized findings into strategic recommendations that informed the firm's fundraising efforts and market positioning.

Company industry:
Investment, Securities & Funds

Macro Research Analyst

January 2021 - January 2022

Reserve Bank of India • IIM Bangalore

Bengaluru, India

January 2021 - January 2022

Worked directly under N. S. Vishwanathan, Deputy Governor of the Reserve Bank of India, conducting credit quality reviews and financial health assessments across India's banking sector, including analyses of impaired assets and their implications for institutional stability. Developed econometric and statistical models to evaluate credit deterioration trends and solvency risks among distressed corporates, generating insights that supported supervisory and regulatory decision-making. Conducted structured credit research on the feasibility of introducing CLOs, CMBS, and RMBS into the Indian market, benchmarking global issuance practices against domestic regulatory frameworks and identifying key adaptations necessary for successful market adoption.

Company industry:
Investment, Securities & Funds

M&A Analyst, Group Services

January 2020 - January 2020

Aditya Birla Group

Mumbai, India

January 2020 - January 2020

Conducted comprehensive due diligence and valuation analyses on acquisition targets, utilizing DCF, comparable company, and precedent transaction methodologies to assess financial performance, strategic fit, and investment attractiveness. Performed industry and market research to evaluate competitive dynamics, market size, and positioning across target sectors, while screening more than 10 acquisition opportunities against long-term portfolio objectives by analyzing business adjacency, capability gaps, and growth potential to support strategic capital allocation decisions.

Company industry:
Banking

Education

Columbia University

February 2024

February 2024

Master's degree, Economics

United States

St. Xavier's College

May 2021

May 2021

Bachelor's degree, Economics, Statistics & Accountancy

India

Skills

DUE DILIGENCE
Intermediate
DUE DILIGENCE
Intermediate
FINANCIAL MODELING
Intermediate
FINANCIAL MODELING
Intermediate
FINANCIAL UNDERWRITING
Intermediate
FINANCIAL UNDERWRITING
Intermediate
FUNDRAISING
Intermediate
FUNDRAISING
Intermediate
INVESTMENTS
Intermediate
INVESTMENTS
Intermediate
INVESTOR RELATIONS
Intermediate
INVESTOR RELATIONS
Intermediate
RELATIONSHIP MANAGEMENT
Intermediate
RELATIONSHIP MANAGEMENT
Intermediate
SENSITIVITY ANALYSIS
Intermediate
SENSITIVITY ANALYSIS
Intermediate
SOFTWARE STRESS TESTING
Intermediate
SOFTWARE STRESS TESTING
Intermediate
STAKEHOLDER MANAGEMENT
Intermediate
STAKEHOLDER MANAGEMENT
Intermediate

Training and Certifications

Certifications
GRE 330/340
CFA Level I