Giulia Pra' is an experienced professional in market risk management, currently serving as a Senior Associate Market Risk Manager at UniCredit since February 2017, specializing in Market Risk and XVA Stress Test Analysis and Reporting, Group ICAAP exercises, and EBA Stress Test activities, with proficiency in R Programming and Daily VaR Reporting. Previous experience includes an internship at UniCredit S.p.A. focusing on Group Financial Risk Models, back office work at Suedtiroler Sparkasse AG, and tutoring in Econometrics at Università degli Studi di Verona. Giulia's early roles involved internships in accounting and administrative positions across various organizations. Giulia holds a Master's degree in Quantitative Finance and a Bachelor's degree in Economics and Business from Università degli Studi di Verona, alongside a Scientific High School diploma from N. Copernico in Verona, Italy.
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