Vega Investment Technologies was founded in 2010 to focus on providing post-trade solutions to asset management and asset servicing firms. Vega specializes in the area of post-trade processing of derivatives and risk management solutions for the buy-side. Vega's ‘Dolphin Risk' solution enables forward-looking (Ex-Ante) risk analytics for the buy-side and our ‘Dolphin PT' solution helps clients derive insights and simplify the management and processing of OTC derivatives.Vega has deep knowledge of key issues facing the industry participants in this area including Regulatory changes(Dodd-Frank, EMIR, MiFID II, N-PORT, etc), Business process challenges such as manual processing and IT complexity.Our team brings expertise in the OTC and Cleared Derivatives domain combined with knowledge of regulatory changes and advanced technology to enable these firms to be more efficient, accurate and service oriented. We help these firms reduce time to market for new instruments enabled via efficient workflow and provide effective data management solutions.Domain Specialization:1. Investment Portfolio Risk Management - Multi-asset/Multi-currency - Ex-Ante Risk using FINCAD-F3/MATLAB - VaR, CVaR, EvE, EaR, Scenario Analysis - Integration with EAGLE Data Management2. Derivatives Life cycle Processing – OTC, Cleared Swaps and Futures/Options3. Data Management for Investment Management/Servicing firms4. Global Derivatives regulatory Reform needs - Dodd-Frank/EMIR, etc.5. Knowledge of Fixed Income and Derivative Analytics6. Asset-Liability Management(ALM) for pension plansKey Technical Capabilities:1. Java, Spring, Gemfire, JMS(RabbitMQ), Google Web Toolkit(GWT), WebServices(REST API), XML2. Database - SQL Server, Oracle, Postgres and Cassandra3. Analytical Tools - MATLAB, R and FINCAD-F34. Java Integration for MATLAB(including MPS), R and FINCAD-F3