Fabio VerachiFRM Financial Risk Manager at Intesa Sanpaolo
Experienced risk manager with strong focus on ESG risks, market risk, credit risk and risk integration.
Proven track record in Recovery Plan, RAF, ICAAP, European Stress tests. Extensive experience, both in Banking and Academic environment (Bocconi and adjunct professor in Luiss, Sole24). Specialties: Risk Strategy, Quantitative Risk Management, Banking Regulation, Quantitative Finance.
Participant to working groups (EBF, AFME, ABI) as expert of risk management processes.