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Kunal Haria Email & Phone Number

Financial Data Analytics Trainer (Director) at Fitch Learning
Location: London, England, United Kingdom 10 work roles 3 schools
1 work email found @barclays.com LinkedIn matched
✓ Verified Jun 2026 4 data sources Profile completeness 100%

Contact Signals · 1 work email

Work email k****@barclays.com
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Current company
Role
Financial Data Analytics Trainer (Director)
Location
London, England, United Kingdom
Company size

Who is Kunal Haria? Overview

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Quick answer

Kunal Haria is listed as Financial Data Analytics Trainer (Director) at Fitch Learning, a company with 211 employees, based in London, England, United Kingdom. AeroLeads shows a work email signal at barclays.com and a matched LinkedIn profile for Kunal Haria.

Kunal Haria previously worked as Data Science Trainer at Qa Ltd and Quantitative Analyst / Data Scientist at Cabot Credit Management. Kunal Haria holds Master Of Science (Msc), Statistics from University College London, U. Of London.

Company email context

Email format at Fitch Learning

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{first}.{last}@barclays.com
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AeroLeads found 1 current-domain work email signal for Kunal Haria. Compare company email patterns before reaching out.

Profile bio

About Kunal Haria

Kunal Haria is a Financial Data Analytics Trainer (Director) at Fitch Learning. He possess expertise in derivatives, fixed income, bloomberg, capital markets, investment banking and 9 more skills.

Listed skills include Derivatives, Fixed Income, Bloomberg, Capital Markets, and 10 others.

Current workplace

Kunal Haria's current company

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Fitch Learning
Fitch Learning
Financial Data Analytics Trainer (Director)
london, greater london, united kingdom
Employees
211
AeroLeads page
10 roles

Kunal Haria work experience

A career timeline built from the work history available for this profile.

Financial Data Analytics Trainer (Director)

Current

London, England, United Kingdom

Jun 2022 - Present

Data Science Trainer

Design, develop and deliver Data Science training courses, at training centres as open programmes, or as closed programmes on clients premises.

Jun 2019 - May 2022

Quantitative Analyst / Data Scientist

London, United Kingdom

Applied statistical analysis to distressed portfolios; created a Markov Chain Diffusion model for the Legal Collection process of Italian NPLs (Non Performing Loans) utilised R programming language. Created version control protocols to assist the wider team collaborate (Git & GitHub). Updated forecasts of expected Collections for Portugal, France, Poland.

May 2018 - Jun 2019

Business Analyst (Risk Data Modelling)

Canary Wharf, London

Multi year program to overhaul the current legacy reporting and analytics platform (Hadoop backend, Spark/Scala middle tier); project driven by regulatory reporting requirements: Comprehensive Capital Analysis and Review (CCAR) for IHC and MIFIDII.

Sep 2015 - Nov 2017

Business Analyst (Csa Aware Project)

Canary Wharf, London

Project involves changing discount curves and associated risk factors of Rates products based on the quality of collateral and specifics of CSAs with counterparties.

Sep 2013 - Sep 2015

Statistician

Government Statistical Service

Victoria, London, UK

Quantitative analysis and publishing statistical findings of emerging levels of council tax data.

Dec 2012 - Jun 2013

Algorithmic Developer

Stfalpha Hedge Fund

London, United Kingdom

Program and back-test an algorithm to predict fund price movements using regression techniques, such as Kalman Filters, using the R statistical programming language.

Dec 2012 - Jan 2013

Projects (Concurrently With Msc Statistics)

London, United Kingdom

Guided development, design and analysis of the PnL and risk management toolset which form the various Structured Credit Derivatives PnL Platforms. Provided technical end user support for the Product Control team. Supervised new joiners.

Sep 2010 - Oct 2012

Graduate Placement - Structured Credit Product Control

London, United Kingdom

Experience working with Structured Credit analytics (government and corporate bonds, CDSs, CDOs, options, callable securities, index-linked instruments & IRSs). Automating the basic task required me to train in Excel/VBA & SQL.Developing, maintaining, and deploying a PnL platform for the CVA Hedging desk - whose mandate involved all products. Understanding.

Sep 2008 - Sep 2010
Team & coworkers

Colleagues at Fitch Learning

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3 education records

Kunal Haria education

Master Of Science (Msc), Statistics

Modules: Applied bayesian methods Decision and risk Forecasting (with time series analysis) Statistical design of investigations.

Financial Engineering In Interest Rates And Fx (C++ Applications In Quantitative Finance)

FAQ

Frequently asked questions about Kunal Haria

Quick answers generated from the profile data available on this page.

What company does Kunal Haria work for?

Kunal Haria works for Fitch Learning.

What is Kunal Haria's role at Fitch Learning?

Kunal Haria is listed as Financial Data Analytics Trainer (Director) at Fitch Learning.

What is Kunal Haria's email address?

AeroLeads has found 1 work email signal at @barclays.com for Kunal Haria at Fitch Learning.

Where is Kunal Haria based?

Kunal Haria is based in London, England, United Kingdom while working with Fitch Learning.

What companies has Kunal Haria worked for?

Kunal Haria has worked for Fitch Learning, Qa Ltd, Cabot Credit Management, Barclays Investment Bank, and Government Statistical Service.

Who are Kunal Haria's colleagues at Fitch Learning?

Kunal Haria's colleagues at Fitch Learning include Mark Christianne Casela, Mario Carias, Cfa, Benjamin Skyrme, Seb Bevan, and Ivy Kong.

How can I contact Kunal Haria?

You can use AeroLeads to view verified contact signals for Kunal Haria at Fitch Learning, including work email, phone, and LinkedIn data when available.

What schools did Kunal Haria attend?

Kunal Haria holds Master Of Science (Msc), Statistics from University College London, U. Of London.

What skills is Kunal Haria known for?

Kunal Haria is listed with skills including Derivatives, Fixed Income, Bloomberg, Capital Markets, Investment Banking, Equities, Fx Options, and Financial Modeling.

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