Talent: Finance/Financial Risk Management
MAIN CAREER FIELD: Finance/Financial Risk Management
Other Career Fields: Data Analysis, Risk Reporting, Banking Regulation, Quantitative Analysis
Experience in years: 3 years (2023-today)
Diploma: Master’s Degree in Economics and Finance – University of Milano Bicocca
Visa: No current visa – requires Employment Pass sponsorship
Languages: Italian (Native), English (Proficient), German (Basic)
Nationality: Italian
Expected Salary: Aligned with competitive market standards in Singapore
Summary Profile*:
Detail-oriented finance professional with stron expertise in Liquidity Risk Management (LCR,NSFR,ALMM, SRB
templates) and Interest Rate Risk in the Banking Book (IRRBB). Experienced in regulatory reporting for major
European banks under Basel III and ECB frameworks. Skilled in SQL-based data extraction, ERMAS Risk
management software and stress-testing methodologies (NII sensitivity, geopolitical scenarios). Proven ability
to collaborate with IT teams on UAT activities, data quality controls and workflow optimization. Motivated to
contribute analytical, regulatory and technical skills within international financial institutions in Singapore.