Gianfranco Arcovito

Credit Risk Manager - Treasury @N26 Group

Berlin, DE
MOBILE NUMBERS
+91 *********19

Signup · Get unlimited contacts

WORK HISTORY

Sep 2025 — Present

Credit Risk Manager - Treasury @N26 Group

View department →

Berlin, DE

EDUCATION

N/A

Università Bocconi

Master of Science - MSc, Economics and Financial Markets

N/A

SDA Bocconi

Master in Corporate & Investment Banking

ABOUT GIANFRANCO ARCOVITO

With over 20 years of experience in investment banking, I have worked in various roles across the credit value chain, building extensive knowledge of fixed income markets. My core competences include: • Portfolio Management: Track record of managing complex portfolios and devising profitable investment strategies.• Risk management: Proven ability to identify and assess risks at an early stage, and devise mitigation and hedging strategies. • Financial analysis and modelling: Advanced analytical skills and expertise in financial modelling, enabling me to perform in-depth financial analysis, identify and evaluate new investment opportunities, and assess risks effectively.• Relationship management: Ability to establish and nurture trusting connections internally (risk, compliance, legal) and externally (partners, investors, regulators).

This profile is compiled from publicly available professional sources. Unifers is not affiliated with or endorsed by LinkedIn. Request removal of this profile.

Gianfranco Arcovito — Credit Risk Manager - Treasury at N26 Group in Berlin, DE | Unifers