Gianfranco Arcovito
Credit Risk Manager - Treasury @N26 Group
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WORK HISTORY
Credit Risk Manager - Treasury @N26 Group
Berlin, DE
EDUCATION
Università Bocconi
Master of Science - MSc, Economics and Financial Markets
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).
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