Fabio Calonaci, Ph.D., is a skilled Senior Risk Manager currently employed at Amius, specializing in market and model risk management for derivatives and structured products. They have extensive experience in building risk frameworks and ensuring regulatory compliance, gained from roles at ICE, NatWest Group, and the Bank of England. Fabio has also served as a Senior Academic Advisor at QUMMIF and as a visiting lecturer at King's College London. Their academic credentials include a Ph.D. and multiple master’s degrees in finance and econometrics from Queen Mary University of London and Università degli Studi di Firenze.
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