London, United Kingdom
Chief Risk Officer | Member of the Executive Committee | Board Member | Managing Director Derivatives Risk Management
Financial Services
Education
Università degli Studi di Parma 1990 — 1995
Master Degree, Economics, Full Mark
Experience
Sodrugestvo August 2013 - December 2014
Jefferies Bache January 2012 - January 2013
JP Morgan March 2010 - January 2012
Rabobank June 2007 - March 2010
Bank of America July 2005 - June 2007
BBVA October 2002 - May 2005
Electrolux September 1997 - September 2002
Banca Popolare di Novara March 1996 - August 1997
Emiliana Gestioni ed Investimenti SIM June 1995 - December 1995
Skills
Alternative Investments, Bonds, Hedge Funds, Interest Rate..., Trading, Private Banking, Trading Strategies, Swaps, Economics, Financial Risk, Structured Finance, Investment Banking, Project Finance, Banking, Financial Modeling, Proprietary Trading, Corporate Finance, Hedging, Valuation, Capital Markets, Equity Derivatives, Risk Management, Market Risk, FX trading, Portfolio Management, Bloomberg, Commodity Markets, Structured Products, Credit Risk, Options, Equities, Emerging Markets, Electronic Trading, Currency, Financial Markets, Funding, FX Options, Credit Derivatives, Asset Management, Trading Systems, Financial Structuring, Investment Management, Treasury, Private Equity, Fixed Income, Investments, Commodity, Treasury Management, Securities, Derivatives