Giovanni Pianezzi

Giovanni Pianezzi

Market Risk Intern

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location of Giovanni PianezziLugano, Ticino, Switzerland

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  • Timeline

  • About me

    IT Project Manager

  • Education

    • Liceo Scientifico

      2001 - 2006
      Maturità Scientifica 100
    • Università degli Studi di Siena / University of Siena

      2005 - 2009
      Bachelor's degree Economia dei Mercati Finanziari 108
    • Katholieke Universiteit Leuven

      2010 - 2011

      LLP Erasmus (6 months)

    • Università degli Studi di Siena / University of Siena

      2009 - 2012
      Master of Science (MSc) Finance 110 e lode

      Thesis: “American Options Pricing: The Monte Carlo Least Squares Approach”Main Subjects: Financial Investments and Risk management, Econometrics, Corporate Valuation, Financial Modeling, Fundamentals of Programming, Financial Engineering.

  • Experience

    • Sella Holding Banca

      Jul 2012 - Jan 2013
      Market Risk Intern

      - Supporting work to the analysis and the implementation of quantitatives models concerning the pricing of complex financial instruments.- Supervising of the key indicator about the liquidity situation and risk exposure of the Banca Sella Group. - Second level controls over Pricing Models used for the price determination of Currency Options, Domestic Currency Swaps, Corporate Bonds and Swaps. - Monitoring of the VaR of the proprietary trading desk and of the bank of the group.- Risk/return performance analyisis for asset management and insurance products (Mutual Funds, Sicav, Index Linked, Unit Linked). Show less

    • Agilex

      Mar 2013 - Jun 2014
      Analyst

      Functional Analyst at Direzione Risk Management Intesa San Paolo.

    • Unicredit Business Integrated Solutions

      Jul 2014 - Dec 2015
      Market and Credit Counterparty Risk Analyst

      - Functional analyst working on FRE (Full Revaluation Engine), Market Risk and CCR systems for Unicredit. Valuation and analysis of Credit, IR and FX derivatives. Daily monitoring of market risk metrics (VaR, Stressed VaR, Sensitivities, Stress Tests, IRC). - Market Data Unification and IPV for OTC Derivatives.

    • UniCredit

      Jan 2016 - Jul 2023

      As PM for Financial Risk ICT area in Unicredit Service I follow several initiatives related to Market Risk and Credit and Counterparty Risk.Accountable for the projects through the whole project life cycle performing the following main activities:- Collect project objectives, scope and deliverable- Define project organization, planning and costing- Define project risk management approach & actions- Execute project, monitor and control progress and cost against key objectives and baseline plan - Manage communications with the wider project team, the SMEs and key stakeholders;- Provide appropriate level of reporting and proper documentation in accordance to Project requirement and standard processes Show less

      • Program Manager

        Aug 2022 - Jul 2023
      • Business Manager

        Jun 2021 - Jul 2022
      • Program Manager

        Sept 2019 - May 2021
      • Project Manager

        Jan 2016 - Sept 2019
    • FORFIRM

      Aug 2023 - now
      Director
  • Licenses & Certifications

    • First Certificate of English (FCE)

      Cambridge ESOL
      Oct 2009
    • Project Management Professional (PMP)®

      Project Management Institute
      Nov 2018
      View certificate certificate
    • Certified ScrumMaster® (CSM®)

      Scrum Alliance
      Dec 2018
      View certificate certificate