Juan Mazzini is a seasoned financial professional with extensive experience in asset allocation and risk management. Currently serving as the Managing Director and Head of Asset Allocation at Global Atlantic Financial Group since July 2017, Juan has previously held senior roles including Senior Vice President and Vice President focused on credit and portfolio risk management. Prior to this, Juan worked at Goldman Sachs from August 2012 to July 2017, where key responsibilities included leading market risk coverage for insurance companies and structuring derivative risk management solutions. Juan's early career includes experience as a Summer Analyst in corporate derivatives and financial engineering. Juan holds a Bachelor of Science in Operations Research and Financial Engineering from Princeton University, earned in 2012.