London, Greater London, United Kingdom
Financial risk management specialist at JCRA
Financial Services
Education
Scuola Superiore 'Sant' Anna' di Studi Universitari e di Perfezionamento 2005 — 2008
Diploma di Licenza Superiore, Economic sciences
Università di Pisa 2005 — 2008
Master of Science (MSc), Corporate finance e Financial Markets, 110/110 summa cum laude
Università degli Studi di Genova / University of Genoa 2001 — 2004
Bachelor's degree in Accounting and Finance, Financial markets and statistics, 100/100 cum Laude
Experience
JC Rathbone Associates April 2015 - Present
J.P. Morgan June 2011 - July 2014
J.P. Morgan January 2010 - May 2011
J.P. Morgan January 2008 - December 2009
Skills
Liquidity Management, Energy Derivatives, Treasury Management, IRS, Key Account Management, Trading, Investment Banking, FX Derivatives, Derivatives, FX trading, Key Account..., Financial Markets, Client Relations, FX Swaps, Team Building, Capital Markets, Hedging, Risk Management, Foreign Exchange, Precious Metals, Economics, Base Metals, Fixed Income, FX Hedging, Financial Risk..., Banking, Money Market, Team Management, Exotic Derivatives, FX Options, Interest Rate Risk..., Interest Rate..., Commodity Risk..., Commodity, Foreign Exchange..., Treasury, Corporate Finance, Structured Products, Financial Risk, Bloomberg, Foreign Languages, Emerging Markets, VAR, Currency Exchange