Dr Madhu Vij is a Professor at the Faculty of Management Studies, University of Delhi, where she has been teaching, doing active research and guiding doctoral students in the area of Finance and Banking. She is a member, Board of Governors, National Institute of Financial Management (NIFM), Lal Bahadur Shastri Institute of Management, member Academic Advisory Body, Indian Institute of Management, Sirmaur, to name a few. She is on the editorial board of several Journals and has participated in Conferences and presented research papers both in India and abroad.

Currently, Prof Vij serves as the Government Nominee, The Institute of Company Secretaries of India and is an Independent Director for four private limited companies.

Area of Interest / Specialization
  • International Financial Management
  • Risk management, Financial Risk management
  • Enterprise Risk management
  • Corporate Finance
  • Banking
  • Management and Cost Accounting
  • Management of Financial Services
  • Financial Accounting
  • Management of Financial Institutions
  • International Financial Markets
  • Behavioural Finance
Honors and Awards
  1. Member – Panel of Judges for Prime Minister’s Trophy to evaluate the performance of the Integrated Steel Plants in India for awarding the Prime Minister’s Trophy and the Steel Minister’s Trophy for excellence in performance for the year 2010-11, 2011-2012.
  2. Received the award of Excellence in 2016 for our paper titled ‘Behaviour of Indian Sectoral Stock Price Indices in the Post Sub-Prime Crisis Period, Jointly written by Harsh Vardhan, Pankaj Sinha and Madhu Vij, The Journal of Advances in Management Research (JAMR), Emerald Group Publishing , referred journal, 28th April, 2015, Vol 12, Issue 1, pp 15-29, ISSN:0972-7981
  3. Participated and attended the Global Colloquium on ‘Participant Centered Learning’ at Harvard Business School, Boston, USA, from 26th July to 5th August, 2009.
  4. Best per award at International conference on Services Management organized by Penn state University USA, Oxford Brooke’s University (UK) and IIMT, Gurgaon, for a research paper co-authored with Dr. Sanjeev Gunjan titled ‘Determinants of Net Interest margin of Banks in India: An Empirical Study, held on the 19th-21st may, 2011, at Leela Kempinski, Gurgaon.
  5. Lectures Delivered to MBA students in Bhutan, April 2009, 2015.
  6. Alumni Excellence award received from Shri Ram College of Commerce, February, 2008.
  7. Second Position in order of merit, M.Phil., 1979, University of Delhi.
  8. Second Position in order of merit, M. Com, 1977, University of Delhi
  9. Received All India Post-Graduate Scholarship for two Years, 1976, 1977, while pursuing M. Com course from University of Delhi.
Special Assignments
  1. Government Nominee, The Institute of Company Secretaries of India, 2019, 2020.
  2. Independent Director in Four Private Limited Companies.
  3. Director, Women Studies and Development Centre, University of Delhi, June 2012-July 2013.
  4. Independent Director in MOIL Limited, a Mini Ratna PSU from 25-06-2010 to 24-06-13.
  5. Member of Ad Hoc Task Force (ATF), Result Framework Document (RFD), Performance Management Division, Cabinet Secretariat, Government of India, 2012, 2013.
  6. Attended the “International Board Convention Research, organised by the Institute of Public Enterprise (IPE), Hyderabad and the Institute of Business Research, University of Waikato, New Zealand, 9 and 10 February, 2012 at the Le Meridian, New Delhi.
  7. Member, National Skill Development Corporation to Review the B.Voc Course Curriculum on Banking, Financial Services and Insurance, 2017
Special Administrative Assignments
  1. Convenor, Corporate Relations and Placements, Faculty of Management Studies, University of Delhi, 2018-2020.
  2. Member, Board of Governors, National Institute of Financial Management, Government of India, Faridabad.
  3. Member, Board of Governors, Lal Bahadur Shastri Institute of Management, New Delhi.
  4. Member, Academic Advisory Body, Indian Institute of Sirmaur.
  5. Chairperson, Rajv Gandhi Undergraduate Hostel for Girls, University of Delhi, 2019, 2020.
  6. University Representative, The Institute of Home Economics, University of Delhi, 2019-2020.
  7. Member, NAAC Infrastructure Sub Committee, University of Delhi, 2016, 2017, 2018
  8. Advisor, Corporate Relations and Placement and Management Science Association, Faculty of Management Studies, University of Delhi, Delhi, 2018, 2019.
  9. University Representative, Board of Research Studies, Department of Adult Education, University of Delhi, Delhi. 2017,2018.
  10. University Representative, Board of Research Studies, Social Sciences, University of Delhi, 2016, 2017.
  11. Member of Departmental Research Committee, Deptt of East Asian Studies. Delhi University.
  12. Member, National Board of Accreditation.
  13. Member, Internal Quality Assurance Cell (IQAC), under NAAC, Shri Ram College of Commerce, Delhi University.
  14. Member, Internal Quality Assurance Cell (IQAC), under NAAC, Mata Sundri College for Women, 2016, 2017, Delhi University
  15. Chairperson, North Eastern Students House for Women, Delhi University, 2016, 2017, 2018.
  16. Member, Managing Committee, Meghdoot Hostel, University of Delhi, 2016, 2017, 2018.
  17. Chairperson, Sub-Committee on Payment Gateway (under the Admission Committee, Delhi University, 2017).
  18. Chairperson, Payment Gateway Committee, Faculty of Management Studies, 2015, 2016, 2017.
  19. University Representative, Board of Research Studies, Social Sciences, University of Delhi, 2016, 2017.
  20. Member of Academic Council, Indian Institute of Foreign Trade, 2008, 2009, 2010, 2011, 2012.
  21. Member of Governing Body, Lady Shri Ram College for Women, University of Delhi, 2012, 2013.
  22. Member of Governing Body, Jesus and Mary College, University of Delhi, 2011,2012
  23. Member of Governing Body, Deshbandhu College, University of Delhi, 2010, 2011.
  24. Member of Governing Body –Shaheed Bhagat Singh College, University of Delhi, 2008,2009.
  25. Corporate Relations and Placement and Management Science Association Advisor, Faculty of Management Studies, 2005-2010, University of Delhi, Delhi.
  26. Member, Editorial Board of Various Journals.
Research Guidance
  1. Guide Doctoral Students
Books Published
  1. Vij, Madhu and Dhawan, Swati, Merchant Banking and Financial Services, Second Edition, Tata McGraw Hill,2017, 2011.
  2. Women’s Studies in India – A Journey of 25 Years, Rawat Publications, 2014, ISBN 978-81-316-0634-6 Author: Madhu Vij, Manjeet Bhatia, Shelly Pandey (Eds.)
  3. Vij, Madhu, Management Accounting, New Delhi, First Edition, Excel Books, October, 2013
  4. Vij, Madhu, Multinational Financial Management, Third Edition, New Delhi: Excel Books, 2010, 2003, 2001.
  5. Vij, Madhu, Management Accounting, New Delhi, First Edition, McMillan India Ltd, 2008.
  6. Vij, Madhu, Corporate Finance, New Delhi: NIIT, 2004. Also authored and designed full online version and CD-Rom of the book, delivered through internet, for online MBA participants for ITT, USA
  7. Vij, Madhu, Financial and Management Accounting, New Delhi: Anmol Publications, 2001, 1998.
  8. Vij, Madhu, Management of Financial Institutions, New Delhi: Anmol Publications, 1990.
(A) Article Published in Edited Books
  1. Article titled ‘Determinants of Corporate Credit ratings in India’ by Rachan Sareen and Madhu Vij, published in ‘Emerging horizons in Finance,’ (2015), Bloomsbury Publishing India Pvt Ltd, Edited by A K Puri and Kanhaiya Singh.
  2. Articled titled ’Impact of Risk Management capabilities on Profitability of banks in India in Post-Reform Era’ by Shalu Mahajan and Madhu Vij, published in ‘Emerging horizons in Finance,’ (2015), Bloomsbury Publishing India Pvt Ltd, Edited by A K Puri and Kanhaiya Singh.
  3. Madhu Vij, ‘Microfinance and Gender Equality – A Myth or a Reality’ in an edited book by Madhu Vij, Manjeet Bhatia, Shelly Pandey, (2014), Women’s Studies in India – A Journey of 25 Years, Rawat Publications, New Delhi, 2014, ISBN 978-81-316-0634-6
  4. Vij, Madhu, ‘Interest Rate Risk and Asset Liability Management of Banks in India’ Article published in Emerging Issues in Finance and Accounting, Himalaya Publishing House,Mumbai, 2012.
  5. Vij, Madhu, ‘Asset Liability Management in Indian Banks’: Article published in Contemporary Issues in Finance, Anmol Publications, New Delhi, 1999.
  6. Vij, Madhu, ‘Asset Liability Management’. Article published in Management Mosaic, Excel Books, New Delhi, 2005.
  7. Vij, Madhu, ‘Managing Financial Institutions in India’: A Review of the Financial Policy Aspects of Development Financial Institutions: Article in Contemporary Issues in Finance, Anmol Publications, New Delhi, 1999.
(B) Research papers published in Refereed / Peer reviewed Journals
  1. Vij, Madhu (2019), “Emerging importance of Risk Management and Enterprise Risk Management strategies in the Indian Hospitality Industry: Senior Managements’ perspective,” Forthcoming article in Worldwide Hospitality and Tourism Themes, WHATT, A Peer Reviewed Emerald Journal.
  2. Kapoor, Anuj and Vij, Madhu (2017), ‘Digital and new age consumer trends: A study among college students in Delhi’ Journal of Commerce and Business Studies, Delhi University, ISSN 2322-076.
  3. Madhu Vij, (2016) “The cost competitiveness, competitiveness and sustainability of the hospitality industry in India”, Worldwide Hospitality and Tourism Themes A Peer Reviewed Emerald Journa, Vol. 8 Issue: 4, pp.432-443, https://doi.org/10.1108/WHATT-04-2016-0019
  4. Shalu Mahajan and Madhu Vij (2016), ‘A Comparative Study of Profitability Determinants of Banks in India’ Vol 7, No 1, Jan –April 2016, IIMS, Journal of Management Science, ISSN 0976-030X.
  5. Vij,Madhu & Dhawan, Swati, (2015), Vol 4, No 5 ‘Financial Characteristics And Derivative Usage By Commercial Banks In India – Examining The Differences Between Users And Non Users’ The International Research Journal of Economics and Business Studies, ISSN : 2251-1555, Vol 4(5), pp 82-90.
  6. Dhawan, Swati and Vij, Madhu, (2015) ‘Relationship between Market Structure, Efficiency and Performance in Indian Banking Industry,’ Indraprastha Journal of Management, Vol 3 No 2, July-December, 2015,3(2), pp 101-108. ISSN 2454 -4175.
  7. Rachan Sareen and Madhu Vij, (2015) ’Determinants of Corporate Credit Ratings: An Empirical Analysis of Indian Companies in the manufacturing sector’ Business Analyst, Vol 36 Issue2 October 2015-March 2016, ISSN No 0973-211X.
  8. Jawahar lal, Madhu Vij and Sonali Jain, (2015) ‘Do Demographics Influence Customer Service Quality Perceptions? A comparative study of Indian and Foreign banks?’ Journal of Services Research, Vol 14, No 2, October 2014-March 2015, ISSN 0972-4702.
  9. Madhu Vij and Manmeet Kaur (2014), ‘Compliance with Corporate Governance Norms – A Study of Foreign Banks’ published in Institute of Public Enterprises Journal of Management, Jan-June, 2014, Vol 4, No 1. ISSN –2249-9040.
  10. Venugopalan T. and Madhu Vij, (2014) “Agency Cost, Growth Options, and Debt Maturity in the Indian Corporate Sector,” Indian Journal of Finance, 8(1), 29 – 42, Volume 8 , Number 1, January 2014. ISSN 0973 – 8711
  11. Venugopalan, T and Vij, Madhu (2014), ‘Signaling Hypothesis, Asymmetric Information and Debt Maturity in Indian Corporate Sector’ Asian Journal of Research in Banking and Finance Vol. 4, No. 3, March 2014, pp. 5-27. ISSN 2249-7323.
  12. Venugopalan, T and Vij, Madhu (2013), ‘Liquidity Risk and Debt Maturity in Indian Corporate Sector’ International Journal of Contemporary Business Studies, Vol: 4, No: 5 May, 2013 ISSN 2156-7506.
  13. Narang, Sunita and Vij, Madhu, (2013) ‘Long-Term Effects of Expiration of Derivatives on Indian Spot Volatility’ ISRN Economics, Volume 2013 (2013), Article ID 718538, 6 pages, 2013.
  14. Vij Madhu (2012), ‘A survey of factors influencing cost structures in the Indian hotel sector,’ Worldwide Hospitality and Tourism Themes, Vol. 4 Issue 5, pp.449 – 462, Emerald Group Publishing Limited.
  15. Vij Madhu and Aggarwal, Saurabh,(2011) ‘Advances in Theory on Portfolio Choice,’ Journal of Managerial Finance and Research, July-Dec 2011.
  16. Vij, Madhu and Tamimi,(2009) ‘Trade -Off between Risk and Return,’ Journal of Finance, December.
  17. Vij, Madhu (2005), ‘The Determinants of Country Risk Analysis: An Empirical Approach,’ Journal of Management Research, Volume 5, Number 1, 20-31.
  18. Vij, Madhu (2005), ‘Managing Gap,’ Vision- The Journal of Business Perspective, Volume 9, Number 1, 49-58.
  19. Vij, Madhu (2003), ‘Currency Correlation and Variability as Hedging Tools: An analytical study of their relationships’ Finance India, Vol XVII No 1, 231-242.
  20. Vij, Madhu (2002), ‘Forward Foreign Exchange Rates as an Unbiased Predictor of Future Spot Rates,’ Journal of Management Research, Vol. 2, No. 2, August, 2002, 79-86.
  21. Vij, Madhu (1999), ‘Management of Development Financial Institutions in India’, Paradigm, Vol. 2, No. 2, 40-56.
(C) Research papers published in Academic Journals other than Refereed / Peer reviewed Journals
  1. Vij, Madhu (2009), ‘Foreign Exchange Exposure Management Practices of Indian Firms: An Empirical Analysis,’ Published in Social Science Research Network.
  2. Vij, Madhu (2007), ‘A survey of Banker’s Perception on E-Banking,’ GGU Journal of Business, 59-68.
  3. Vij, Madhu (2006), ‘Asset Liability Management System – A case study of foreign, private and public sector banks in India’, Journal of Management, Volume 1, No 1, 30-42.
  4. Vij, Madhu (2005), ‘Asset Liability Management in Banks,’ Journal of Taxation, Law and Accounting, Vol.01, 8-9.
  5. Vij, Madhu (2003), The New World of Banking – A Paradigm Shift, Journal of Management Research, Vol 3, No3, 139-151, December 2003.
  6. Vij, Madhu (2002), ‘Gap analysis in Asset Liability Management – A case study of ICICI Bank,’ Aatmbodh, Vol. 4, No. 1, 41-61.
  7. Vij, Madhu (2001), ‘Assets-Liability Management in Banks & Financial Institutions – a Case study of IDBI,’ Journal of Management Research, Vol. 1 No. 2, 111-120.
  8. Vij, Madhu (1999), ‘Strategic Planning for Asset–Liability Management: Relevance for Development Financing Institutions in India,’ Business Analyst, Vol. 20, No. 2, 61-74.
  9. Vij, Madhu (1999), ‘A conceptual Approach to the Determinants of Country Credit-Worthiness,’ Finance India, Vol XIII, No. 2, 451-462.
  10. Vij, Madhu (1992), ‘Development Banks and the Mobilization of Financial Resources,’ Finance India, Vol. V1, No. 4, 783-797.
  11. ‘Determinants of Equity Share Prices in India’-Research work done for M.Phil degree, 1979.
  12. Vij, Madhu and Bakshi, Poonam (1978), ‘Human Resource Valuation Models, The Indian Journal of Commerce,’ Vol xxxi Part 1V No. 117, 157-168.

(D) Research papers presented/published in Conferences

  1. Presented a Research paper titled, ‘Concentration, Efficiency and Performance of Indian Banking Industry’ at the World Finance Conference at St John’s University, Manhattan, New York from, July 29-31, 2016.
  2. Anuj Kapoor and Madhu Vij, (2018), ‘Technology at the dinner table: Online food ordering apps in India’ COSMAR, Paper presented at IISC
  3. Anuj Kapoor and Madhu Vij, (2018) ‘Are you digitally ready? Development of a Digital Readiness Index’ Paper presented at IIT Bombay.
  4. Anuj Kapoor and Madhu Vij, (2018), ‘Digital Underwriting: Life Insurance in India ‘5th PAN IIM World Conference.
  5. Anuj Kapoor and Madhu Vij, (2018), ‘Digitization in Banks :” Luxury or Neccessity’
  1. Key Note Speaker in a UGC sponsored National Conference on ‘Emerging Trends and Contemporary Issues in Finance’ Organized by Deptt of Commerce, 29 th and 30th March,2016, Dyal Singh Evening College, University of Delhi.
  2. Presented a Research paper along with Shruti on ‘A Study of the Perception and Awareness level of Reverse Mortgage in NCR’ at Lal Bahadur Shastri Institute of Management, New Delhi, 11th-12th March, 2016, National Finance Conference on Financial System Reforms and Economic Growth: Issues and Challenges
  3. Paper presented jointly with Dr Rachan Sareen (2014), “Determinants of Corporate Credit Ratings in India”, at Fore International Finance Conference (FIFC), organized by Fore School of Management, New Delhi, Nov 26-27, 2014.
  4. Vij, Madhu and Bawa, Manpreet,(2013) ‘Compliance with Corporate Governance norms – A Study of Foreign Banks in India,’ Paper accepted for the Asian Conference on Corporate Governance and Business Sustainability’ Bangkok, October 7, 2013 – October 9, 2013.

  5. Vij, Madhu and Kapoor, M.C. ‘Net Interest Margin and Asset Liability Management of Banks in India: An Empirical Investigation’ Paper accepted for presentation as well as for publication in the proceedings for the 12th International Conference on Global Business and Economic Development (SGBED), Singapore, July 21-23, 2011

  6. Vij, Madhu and Dhawan, Swati “Interest Rate Derivatives and Determinants of Bank Performance in India: A Comparative study of Public, Private and Foreign Banks.” Paper presented at the India Finance Conference held at the Indian Institute of Management Bangalore, December 21 -23, 2011.
  7. Vij, Madhu and Gunjan Sanjeev ‘Financial Risk, Interest Rate volatility and Asset Liability Management of Banks in India: An Empirical Study’ Paper presented at the International Finance Conference, January 9-12, 2011, IIM Calcutta.
  8. Vij, Madhu, and Saurabh Agarwal “A Simplified Algorithm for Multi-objective Portfolio Optimisation” Paper presented at the 2nd IIM Ahmedabad International Conference on Advanced Data Analysis, Business Analytics and Intelligence, January 8-9, 2011.
  9. Vij, Madhu, ‘Spot and Forward Exchange Rates as Predictors of Future Spot Rates: An Empirical Analysis’ Paper presented and published at the International Conference on Business, Economics and Finance held at Paris, France from June 28-30, 2010.
  10. Vij Madhu and Tamimi,” Systematic Risk & Return on Indian Capital Market” Joint Paper presented and published at the International Conference held in New Delhi on Issues in Finance and Economic Development, November 6-7 2009.
  11. Vij, Madhu ‘Assessing Economic, Political and Socio- Cultural Factors as Explanatory Variables of Country Risk Assessment for India.’ Paper presented and published at the 20th Australian Finance and Banking Conference held at Sydney, Australia from 12-14 December 2007.
  12. Vij Madhu, ‘The Determinants of Country Risk Ratings and their Policy Implications’ Paper presented and published at the World Risk and Insurance Economic Congress (WRIEC), from 7th August to 11th August, 2005, at Salt Lake City, Utah, USA.
  13. Vij, Madhu, ‘A Survey of Banker’s Perception on E- Banking’, Paper published at the 18th Annual Australasian Finance and Banking Conference held at Shangri-la-Hotel in Sydney, Australia from 14th to 16th December 2005.
  14. Vij, Madhu, ‘E- Banking: An Emerging Perspective of the Regulatory and Taxation Issues’ Paper presented and Published at the 7th International Conference on “Global Business and Economic Development “ held at Bangkok, Thailand, January, 2003.
  15. Vij, Madhu, ‘Country Risk Analysis’ Paper Presented and Published at the International Conference organized by the AIB and SJM School of Management, IIT Bombay, February 2003.

(E) Research Papers Published in Conferences / Seminars other than Refereed / Peer reviewed Conferences

  1. Anuj Kapoor and Madhu Vij, (2018),’ Being Digital: An analytical framework for calculating digital customer value in retail banking’ 6th AICC, Department of Commerce, DU
  2. Anuj Kapoor and Madhu Vij, (2018), Extreme Couponing: Do you really save money using coupons’ 6th AIM – AMA Sheth Consortium
  3. Vij Madhu and Tamimi, “Capital Asset Pricing Model in Indian Stock Market” Joint paper presented and published at the International Annual Conference held in New Delhi for Indo – Iranian Students, January 9, 2010.
  4. “Does Bank Size Matter” Paper presented and published in the Bankers Conference Held on 10th and 11th November, 2004 at Vigyan Bhavan. The paper was co-authored with Gunjan Sanjeev. The conference was hosted by Punjab National Bank with the support of Indian Banks Association.
  5. Vij, Madhu and Gunjan Sanjeev, “Technical efficiency of the Banks operating in India: An application of Data envelopment Analysis (DEA).” Joint paper presented and published for a Conference organized at IILM Lucknow, March 2005.
  6. Vij, Madhu, “Country Risk Analysis and the Management of Indian Capital Inflows,” Paper published in ‘Money Matters’, 1996, Souvenir brought out on the occasion of the seminar on “Financial Mega Trends — 96, organized by FMS, University of Delhi.
  7. Vij, Madhu, “ Raising Funds in Euro Markets-A case study of Indian Companies,” Paper published by the Department of Management, Kurukshetra University in March 1994, for a National Seminar organized by them.
  8. Vij, Madhu “ Capital Structure for Development Banks”, Money Matters, Paper Published by FMS in 1993.
  9. Vij, Madhu,” Financial Institutions and Policies-Some issues,” Paper presented at a Seminar organized by Department of Commerce, University of Delhi, 1980.

(F) Other Publications

  1. Participated in the ISB-AIMS Case Writing and Teaching Note Competition, 2010, organized by the Centre for Case Development, ISB, Hyderabad.
  2. Reviewed the book titled, E- Finance: The Electronic revolution by Erik Banks. The review was published in Journal of Management Research, Vol. 2, No. 2, August, 2002, 114-116.
  3. Article summary published by Stephen Murray in CFA Digest, Winter 2000, Volume 30, No 1. The title of the article was ‘A conceptual Approach to the Determinants of Country Credit-Worthiness,’ 1999.
Research Projects (Major Grants / Research Collaborations)
  1. Project Sanctioned by University of Delhi on ‘Capital Budgeting and Capital Structure Decisions: A Practical Approach’ 2015-2016, Amount Sanctioned Rs 1,20,000, 2015-16.
  2. Project completed and submitted to University of Delhi on ‘Cost Structures and Management in the Hospitality Industry – A Survey Approach’, 2014-15., Amount sanctioned Rs 70,000
  3. Project sanctioned by University of Delhi on ‘Interest rate risk and Liquidity risk management in banks – A new framework’, Amount sanctioned – Rs 75,000, 2013-2014.
  4. Project sanctioned by University of Delhi on Micro-Finance and Gender, 2012-2013.
  5. Major Project sanctioned by University Grants Commission, New Delhi on “Interest Rate Risk and Asset Liability Management of Banks in India: An Empirical Study” in February, 2011, Amount sanctioned Rs 2,18,000.
  6. Project sanctioned by Indian Council of Social Science and Research (ICSSR), New Delhi on “Foreign Exchange Exposure Management Practices of Indian Firms: An Empirical Analysis, in March, 2011, Amount sanctioned Rs 3,49,375.
  7. Project sanctioned by University of Delhi on “Asset Liability management of Banks in India” 2011-2012.
  8. Project sanctioned by University of Delhi on “A Survey of Bankers’ perception on E-Banking,” in March 2008 -2010. The report has been submitted.
  9. Project sanctioned by RBI on ‘A Study on Good Corporate Governance in Select Urban Cooperative Banks,’ in July 2007. The final project has been submitted in November, 2007.
  10. Project sanctioned by ICSSR on ‘Forward rates as unbiased predictors of Future spot rates,’ March 2007. The final project has been completed and submitted, November, 2008.
  11. Coordinator for a project on ‘Corporate Debt Restructuring’ that had been sanctioned to FMS, University of Delhi by SAIL, in March 2005. The project has been completed and submitted to SAIL.
  12. Project Sanctioned by ICSSR on ‘Capital Flows in a Globally Competitive Environment: Implications of Changing Country Risk Rating, January 2004. The final project has been submitted, March 2006.
  13. Completed a Project sanctioned by UGC on ‘Asset Liability Management in Banks and Financial Institutions, March, 2000.
Association with Professional Bodies
  1. Member of Academic Council, Lal Bahadur Shastri Institute of Management, Dwarka, Delhi.
  2. Member, Academic Advisory Committee, Bhavan’s Usha & Lakshmi Mittal Institute of Management (BULMIM), New Delhi.
  3. Member, Academic Advisory Committee, Apeejay School of Management, Dwarka.
  4. Member, Academic Advisory Committee, National Institute of Financial Management.
  5. Member, Board of Studies, Amity University, Gurgaon.
  6. Member, Board of Studies, Jaypee Institute of Information Technology, Noida.
  7. Member, Board of Studies, Faculty of Commerce, Dayal Bagh Educational Institute, Agra.
  8. Member of Academic Council, Indian Institute of Foreign Trade for three years.
  9. Member, Editorial Board of Finance India, Journal of Indian Institute of Finance, published since 1987.
  10. Member, Editorial Board, Shri Ram College of Commerce, University of Delhi, Delhi.
  11. Member, Editorial Advisory Board, University of Petroleum and Energy Studies Journal of Energy and Innovation, Dehradun.
  12. Member, Editorial Advisory Board, Asia Pacific Business Review, Journal of Asia Pacific Management Institute, New Delhi for 3 years.
Article Reviewer:
  1. Reviewer for Finance India, Journal of Indian Institute of Finance, New Delhi
  2. Reviewer for Journal of Delhi institute of Advanced Studies (DIAS), Delhi.
  3. Reviewer for Business Analyst, Journal of Shri Ram College of Commerce, University of Delhi, Delhi
  4. Reviewer for the Accounting Journal Published by Asia Pacific Management Institute, New Delhi
  5. Reviewer for View Point- A Journal of Management and Computer Applications,’ Teerthanker Mahaveer University, Moradabad (UP).
  6. Reviewed two articles – 1998, 2001 for publication in the Asian Academy of Management
  7. Journal, University Sains Malaysia, Penang, Malaysia.