Riccardo V.
Model Risk Quantitative Auditor @Morgan Stanley
Verona, IT
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WORK HISTORY
Oct 2025 — Present
Model Risk Quantitative Auditor @Morgan Stanley
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EDUCATION
N/A
Collegio Carlo Alberto
Second Level Master, Quantitative Finance
N/A
Università degli Studi di Verona
Master's degree, Banking and Finance - Quantitative Finance Track
2018 — 2021
Università degli Studi di Verona
Bachelor's degree, Economics
ABOUT RICCARDO V.
Recent Quantitative Finance graduate with a strong interest in mathematical modeling, data analysis, and problem solving.Experience in Risk Management within the energy sector.Curious mind, always eager to learn and apply quantitative tools to real-world challenges.
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