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Sekhar Kanuri, FRM's Linkedin Analytics

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Sekhar Kanuri, FRM

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Diverse experience in risk analytics and management (7 years) and trading systems engineering (8 years) in futures and equities trading at large investment banks and high frequency trading (HFT) firms. Also supported options market making (6 months) both from a risk management and trading systems engineering perspective. Additional 2 years experience building machine learning models in FinTech credit risk. Global Association of Risk Professionals (GARP) certified Financial Risk Manager (FRM). Proven track record in automation using Python, R, and Linux to improve process efficiencies & reliability and the accuracy of risk data analytics and statistical models. Skilled and knowledgeable in risk measurement & monitoring, operational, market & regulatory risk, high frequency / low latency trading systems, linear algebra & calculus, optimization, modeling, and analyzing large sets of trading and risk analytics data using supervised and unsupervised statistical techniques. Result-oriented, disciplined learner with strong analytical abilities, zeal to make a difference, and passion to add value and deliver.

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