Stefano Bolla is a Group Financial Risk Management & Capital Markets Analyst at Ferrari since March 2022, focusing on FX/Commodities hedging and treasury planning. Previously held the position of Group Cash Management & Banking Relations Specialist at Ferrari, managing daily cash position reporting and bank relationships. Prior experience includes a role in Group Treasury - Cash Management at Prysmian Group from September 2021 to March 2022. Academic qualifications include a Master of Science in Management from Università Bocconi, an exchange semester at Jönköping International Business School, an International Business degree through the Erasmus+ Program at the University of Valencia, and a Bachelor's in Economics & Management from Università di Pavia. Early education includes a High School Diploma in Foreign Languages from Liceo linguistico A. Cairoli - Pavia.
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