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Excellent knowledge of multiple asset classes including Fixed Income Cash & Derivatives, FX & Equities.Experienced in working with e-Trading & Quantitative / Algo initiatives from both a Trading & Risk perspective including the implementation and analysis of Order & Execution Management systems (OMS/EMS) and their associated controls.Blockchain Strategy & Coding knowledge including Python, SQL, PHP, Javascript & VBA/VB.NET.
Propellant Digital
View- Website:
- propellant.digital
- Employees:
- 14
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Quant ConsultantPropellant DigitalLondon, England, Gb -
Product Director, Quantitative SmeOverbond Jan 2023 - Jul 2024London, England, United KingdomBrought in to lead Business & Product Development and advise on strategic initiatives.Key Highlights:Delivered Smart Order Routing (SOR) algorithm- Winner Best SOR Application- A-Team TradingTech Insight Awards USA 2024Delivered AI driven Product Suite- Winner Most innovative AI in trading- A-Team Insight Innovation Awards 2023 -
Independent ContractorGrant Thornton Uk Llp May 2021 - Nov 2022London, England, United KingdomAssigned contracts to advise a Tier 1 Investment Banking client base, based on my experience as trader with strong Python knowledge. Focusing on advisory around Trading Controls & Regulatory Remediation across Fx, Fixed income, Commodities & Energy products.Specific areas of focus included:Code & Logic ReviewGenerating custom Python & SQL scripts for logic validationData Analysis / Data Engineering / Model BuildingAdvising on issues surrounding regulatory remediationReviewing Trading Controls -
Director- Operational Risk LeadNatwest Markets Jun 2016 - Jun 2020London, United KingdomHired to provide expert opinion on Trading & Flow Sales Operational processes using my experience as a Senior Fixed Income Specialist. Key achievements and responsibilities include:• Approval of new products & non-standard deals (e.g. Bitcoin Futures, Structured Notes, ETF’s)• Building & maintaining relationships with Senior Front Office & Technology Stakeholders• Providing Oversight of Algorithmic & E-Trading initiatives (e.g. The PRA Annual Self Assessment)• Framework implementation & embedding• Advising on Process automation / efficiency and cost benefit analysis• Oversight of Listed & OTC derivatives & Cash products• Approval of new venue on-boarding (e.g. MTF’s, SEF’s)• Advising key business lines on the Risk Assessment / Scenario Analysis process (e.g. Cloud migration & related technology risks and ESG / Climate Change Risks)• Evaluating Regulatory updates (including MiFID II, MAD/MAR) & Horizon risk• Advising the business on Operational Risk Issues, Impacts, Events & the Control Environment• Using VBA/Python for automated Reporting Solutions, Risk Analytics & Data Analysis• Quantitative Analysis of large datasets• Operational Risk Loss Data Modelling & Forecasting -
Director- Fixed Income TradingNumis Securities Apr 2014 - Jan 2016London, United KingdomBrought in by the Head of Fixed Income to lead a UK Focused Secondary Trading Desk in a ‘low touch’ environment and develop the product offering. Specific achievements and responsibilities included:• Building & maintaining relationships with vendors to enable delivery of the e-trading offering• Developing ‘Low Touch’ Trading strategies with usage of basic Algorithmic Trading Strategies• Building & maintaining relationships with key personnel at client accounts (up to CIO & CEO level)• Line Management responsibilities• Automated Market making OTC & Exchange Traded products• Marketing to a client base made up of UK Asset/Wealth Managers, Pension Funds & Hedge Funds• Using Bloomberg API’s and Excel VBA for automating processes (e.g. Data manipulation)• Writing regular commentary & presenting at conferences• Quantitative Analysis of Market Data• Fundamental & Technical Analysis of Sectors / Bonds (e.g. Green Bonds)• Building & maintaining relationships with Agency & Interdealer Brokers and Financial Intermediaries• Taking ownership of new client on-boarding -
Proprietary TraderBlue Ocean Strategic Capital Management Dec 2012 - Mar 2014London, United KingdomFixed Income focused role, taking short term risk positions in recent / new Primary market issuance. Specific achievements and responsibilities included:• Building & maintaining relationships with key dealers, vendors and brokers• SSA’s, IG & HY On-the-run Credit, Global Emerging Markets Credit & G10 Rates• UK/European & Asian Convertible Bonds & Equities• Quantitative Analysis of Market Data• Taking ownership of new account on-boarding
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Vp- Credit TradingRbs Global Banking & Markets Feb 2007 - Jul 2012London, United KingdomFocused on servicing a UK & European client base, making markets in Global Credit products, specific achievements and responsibilities included:• Building and maintaining relationships with internal desks to streamline Rates & Fx Hedging processes• Building & maintaining relationships with Agency & Interdealer Brokers and Financial Intermediaries• Managing the risk transfer from ABN Amro to the RBS Credit Trading Desk balance sheet• Managing the risk mitigation after the Lehman Brothers & Icelandic Banks defaults• Created a prototype model for CDS Index Arbitrage opportunities• Line management responsibilities for a team of Desk Assistants• Developing and delivering key e-trading initiatives including auto-execution of GBP Bonds• Making OTC markets to (Predominantly UK & European) Asset Managers, Pension & Hedge Funds• Products traded included Bonds, Loans, CDS, CDS Indices, Prefs, Debentures, FRN’s, Hybrids & Perps• Using Bloomberg API’s and Excel VBA for automating processes (e.g. Data manipulation)• Quantitative Analysis of Market Data & developing trading strategies• Taking ownership of new client on-boarding -
Position Keeper- Credit Derivatives Middle OfficeRbs Markets And International Banking Feb 2006 - Feb 2007London, United KingdomJoined a client facing Credit Middle Office team to gain experience of Credit Derivatives with a view to moving onto the trading desk. Specified achievements and responsibilities included:• Strengthening relationships with Hedge Fund & Real Money accounts to improve confirmation efficiency• Presenting at conferences and to individual accounts on the CDS confirmation processes• Streamlining the Electronic Confirmations process via DTCC and internal systems• Ensuring a low error rate for Trade Validation & Queries• Reducing outstanding trade mismatches and handling complaints directly from clients• Gaining familiarity with iTraxx & Vanilla CDS products (European, US & Emerging Market Credits)• Understanding the complete trade lifecycle (cash and derivative products) -
Infrastructure Delivery Cbfm & Wealth Management Programme SupportRoyal Bank Of Scotland Oct 2004 - Feb 2006London, United KingdomGained a place on the highly competitive IT Graduate Scheme within RBS. -
Equity Data AnalystMourant Jul 2003 - Jul 2004Croydon, United Kingdom
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Equity Sales AdvisorMourant Jul 2002 - Jul 2003Croydon, United Kingdom
Vidal Mehra Skills
Vidal Mehra Education Details
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Management -
Wilson'S Grammar SchoolA' Levels; Business Studies, Mathematics; General Studies; German
Frequently Asked Questions about Vidal Mehra
What company does Vidal Mehra work for?
Vidal Mehra works for Propellant Digital
What is Vidal Mehra's role at the current company?
Vidal Mehra's current role is Quant Consultant.
What is Vidal Mehra's email address?
Vidal Mehra's email address is vj****@****o.co.uk
What schools did Vidal Mehra attend?
Vidal Mehra attended Royal Holloway, University Of London, Saïd Business School, University Of Oxford, Wilson's Grammar School.
What skills is Vidal Mehra known for?
Vidal Mehra has skills like Fixed Income, Sterling, Derivatives, Bloomberg, Trading, Bonds, Distressed Debt, Commodities, E&p, Credit, Cds, Equities.
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