Mario Nigrinis is currently the Capital and Liquidity Risk Senior Manager in Treasury Risk Management Asia Pacific at HSBC. They previously held positions as an Executive Director in Finance at BBVA and Senior Economist at both BBVA Colombia and Banco de la Republica, where they provided key economic insights and managed structural risks. Mario has also served as a lecturer at Universidad del Rosario, teaching macroeconomic and monetary theory. They hold a B.A. in Economics from Pontificia Universidad Javeriana and an M.Sc. in Economics from Universidad de los Andes.
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