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Francesco Scano

Senior Market Risk Manager - Distressed / Secondary Loans, Credit Financing and Flow Credit

Francesco Scano has extensive experience in financial services, primarily focusing on valuations and risk management across various roles and companies. Francesco began at GlobeOp Financial Services as a Senior Associate, first leading project management for the implementation of funds and subsequently overseeing OTC derivatives valuation for Hedge Funds. At HSBC Global Banking and Markets, Francesco held various positions, including AVP in the Global Valuation Group, where responsibilities included independent price verification, governance around curve marking, and managing a team for fair value adjustments across asset classes. As Senior Market Risk Manager at HSBC since October 2020, Francesco specializes in distressed loans and credit financing, offering oversight on various financial products. Educational qualifications include a Certificate in Quantitative Finance from Wilmott, a Business and Economics degree from Università Carlo Cattaneo, and completion of CFA Level 1 from the CFA Institute.

Location

London, United Kingdom

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