Italy
Manager at Eni Market Risk Control and Derivatives Evaluation Processes
Oil & Energy
Education
SDA Bocconi 2010 — 2011
Master, General Management, 110/110 cum laude
Global Association of Risk Professionals (GARP) 2004 — 2005
Financial Risk Manager (FRM™), Certificate
Università Commerciale 'Luigi Bocconi' 1996 — 2000
Laurea, Discipline Economiche e Sociali (M.Sc. Economics equivalent), 110/110 cum laude
Liceo Scientifico 1991 — 1996
Diploma, Scientific, 60/60
Experience
Eni October 2010 - Present
Eni Trading & Shipping SpA - UK Branch, London May 2012 - June 2013
Eni March 2008 - October 2010
Eni May 2006 - February 2008
Eni December 2001 - April 2006
Freedata March 2001 - October 2001
Skills
Problem Solving, Process Development, Programming, Financial Software, Policy, IT Audit, Financial Reporting, Efficiency Analysis, IT Financial Management, Risk Control, Banking, Trading, Interest Rate..., Front-end Development, System Architecture, Financial Modeling, Teaching, Strategic Thinking, Volatility, Risk Management, Market Risk, Data Analysis, VAR, Operational, Hedge Accounting, Financial Analysis, Profit & Loss Management, Process Improvement, Risk Profiling, Enterprise Software, Hedging, Energy Risk, Quantitative Finance, Finance, Simulation, Front Office, Soft Skills, Energy Trading, Market Analysis, Commodities, Energy Trading and Risk..., FX, Risk, Middle Office, Energy, Energy Policy, Credit Risk, Derivatives, Governance, Compliance