Italy
Financial Control Investment Management at Allianz Italia
Financial Services
Education
MIB School of Management 2012 — 2013
Master degree, eMIRM - Corporate Master in Insurance and Risk Management
Università Cattolica del Sacro Cuore 2007 — 2010
Master of Science in Institutions and Financial Markets, Finance, Final Grade: 110 Cum Laude out of 110
Stanford University 2010 — 2010
International Thesis Scholarship Program, Finance
Università Commerciale 'Luigi Bocconi' 2003 — 2006
Laurea in Economia dei mercati e delle istituzioni finanziarie (CLEFIN), Finance
Istituto Tecnico Commerciale Eva Mameli Calvino 1998 — 2003
Diploma, accounting and business, Final Grade: 100 out of 100
Experience
Allianz Italia January 2012 - Present
FondiOnlne srl January 2007 - December 2012
Allfunds Bank October 2011 - January 2012
Lyxor Asset Management, Group Société Générale October 2010 - July 2011
Skills
ETFs, Citrix Metaframe, Spanish-speaking, Economics, Asset Managment, Fixed Income, Financial Reporting, Performance Analysis, Financial Analysis, Mutual Funds, Managing Deadlines, Asset Management, Sofia, Relationship Management, Lotus Notes, Product Marketing, Bloomberg Terminal, Microsoft Excel, Analisi di bilancio, Outlook, Microsoft Office, Risk Oversight, Rendiconti finanziari, Economia, Excel Pivot, Financial Controlling, Gestione degli asset, Datastream, Active Team Player, Microsoft Word, Positive Team Player, Investment Performance, Internet strategy..., PowerPoint, PL/SQL, Credit Risk, Product Service, Italian languages, Asset Allocation, Result Oriented, Reporting & Analysis, English language skills, Investments