Assistant Professor
CONTACT
Email: sankalp.naik@jaipuria.ac.in
Location: Jaipuria Noida
TEACHING AREAS
Finance and Fintech
Dr. Sankalp Naik is a finance academic with a strong interdisciplinary background in computer science, management, and analytics. He holds a Ph.D. in Finance with a specialization in Enterprise Risk Management from BITS Pilani, an MBA in Finance from Goa University, and a BE (Computer Engineering) from Goa Engineering College. His research interests span FinTech, financial analytics, risk management, and sustainability, with publications in ABDC- and Scopus-indexed journals. Dr. Naik integrates data science tools into financial decision-making and has taught a wide range of courses, including Financial Management, Accounting, Financial Analytics, and FinTech to MBA, MTech, BTech, and law students. Prior to joining Jaipuria Noida, he taught at VIT Business School, Chennai, and has been recognized for his student-centric pedagogy and consistently high teaching feedback.
PhD (Risk Management), MBA (Finance), BE (Computer Engineering)
Academic Experience: 1 Years
Achievements and Awards
Best Teaching Assistant Award for contributing toward course development, student preparation, and assisting in teaching – BITS Pilani, K K Birla Campus, Goa (2023)
University Gold Medalist, MBA Batch 2015-17, Goa University
Best Entry – Reserve Bank of India Essay Competition - RBI Policy Challenge 2017
Research works
When bigger is not always better: exploring the size‑dependent nature of the sustainability reporting‑firm valuation relationship; D’Costa, C.R., Prabhudesai, R., Naik, S. P., Prasad, C.V.V.S.N.V, and Mishra, M.; International Journal of Productivity and Performance Management; Year:2024; Index: SCOPUS, ABDC ‑ B
Corporate governance antecedents and value relevance of environmental, social, and governance (ESG) disclosures: insights from Indian listed firms; Naik, S. P., Baral, R, Durgaprasad, A. V. S., & Prasad, C. V.; International Journal of Corporate Governance, 14(1); Year: 2024; Index: ABDC ‑ B
Enterprise Risk Management: A Review and Conceptual Framework Encompassing Management and Accounting & Finance Disciplines; Naik, S., & Prasad, C. V. V. S. N. V.; International Journal of Risk Assessment and Management, 1(1); Year: 2023; Index: SCOPUS, ABDC ‑ C
Value relevance of Enterprise Risk Management (ERM): the Indian case; SP Naik, Dhruv Jauhar, Ch Prasad; International Journal of Business Continuity and Risk Management 13 (3), 229–247; Year: 2023; Index: SCOPUS
Risk and Risk Management: a historical review and research agenda; SP Naik, Ch Prasad; International Journal of Business Continuity and Risk Management 12 (3), 244‑262; Year: 2022; Index: SCOPUS
Macro‑financial analysis of value‑at‑risk from banking stocks in an Indian scenario; R Baral, SP Naik, D Patnaik; International Journal of Business Continuity and Risk Management 11 (4), 379‑396; Year: 2021; Index: SCOPUS
Benefits of Enterprise Risk Management: A Systematic Review of Literature; S Naik, Ch Prasad; Journal of Finance and Banking Review 5(4) 28–35, 379‑396; Year: 2021; Index: EBSCO
The economics of mining seabed manganese nodules: A case study of the Indian Ocean nodule field; R Mukhopadhyay, S Naik, S De Souza, O Dias, SD Iyer, AK Ghosh; Marine Georesources and Geotechnology 37 (7), 845‑851; Year: 2019; Index: SCOPUS, Q2