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CA. (Dr.) Jai Kotecha
Assistant Professor
Areas Of Expertise
Capital Markets, Investment Analysis & Portfolio Management, Mutual Funds, Financial Planning, Wealth Management, Corporate Finance, Taxation Planning, Financial Management, Cost & Management Accounting, Personal Finance, Financial Statement Analysis
Bio
CA (Dr.) Jai Kotecha is a dynamic academician and finance professional, a qualified Chartered Accountant with a Ph.D. in Financial Management from Savitribai Phule Pune University. With over 16 years of experience across academia and the financial services industry, he blends academic rigor with real-world financial expertise.
His areas of specialization include Capital Markets, Portfolio Management, Financial Systems and Services, and Personal Financial Advisory. He has engaged learners across postgraduate and professional programs, is a sought-after Guest Speaker at institutions such as ICAI and ICSI, and has presented at international conferences, including those hosted by IIMs.
With prior experience at Bank of America, Barclays, and Standard Chartered Bank, Dr. Kotecha brings strong industry relevance to his academic work. He has also designed and delivered FDPs and MDPs for reputed organizations, focusing on retirement planning, education planning, tax-efficient wealth structuring, and direct tax management.
Known for his engaging and practical approach, Dr. Kotecha continues to inspire and mentor future finance professionals with clarity, relevance, and commitment to excellence.
Qualifications
Ph.D., B.Com, M.Com, ACA (ICAI)
Teaching Interests
Investment analysis and portfolio management, Wealth Management, Financial management, Financial Markets and Services, Direct Taxation, Corporate Finance, Analysis of Financial Statements
Publications
1. Audit Committee Nominee Directors and Bank Performance: Evidence from Indian Banks – Corporate Ownership & Control (ABDC-B, 2024).
2. Volatility Unleashed: The Hidden Costs of Supply Chain Disruptions on Equity Markets – IIM Jammu International Conference, 2024.
3. Determinants of Investor Behaviour and Risk Appetite in Emerging Markets – Pacific Business Review (Web of Science Indexed, Impact Factor 8.603), 2024.
4. Digital Integration in Financial Education: Bridging Academia and Industry – Journal of Information Systems Engineering and Management (Scopus Indexed, 2025).
5. Additional papers published in FinTech, Green Finance, and Investor Behaviour (UGC-CARE listed, 2016–2020). "