Rafael Pagnoncelli

Vice President Treasury And Financial Risks at Sollio Cooperative Group

Rafael Pagnoncelli began their work experience in 2004 as a Technical Support Engineer at Siemens Enterprise Communications. Rafael then worked as a Production Engineer at Optel Vision in 2008. In 2011, they joined Standard Life - HEC Investment Fund as an Analyst handling assets within a team of 10 analysts. Rafael also worked as a Research Assistant at the Bank of Canada in 2012 and as an Analyst Intern at Caisse de dépôt et placement du Québec. From 2013 onwards, they took on various roles at Sollio Cooperative Group, starting as a Financial Risk Analyst & Trader and progressing to Managing Director positions in Risk and Financial Markets, Treasury and Risk Management, and currently serving as Vice President Treasury and Financial Risks.

Rafael Pagnoncelli obtained a Bachelor's degree in Engineering from the Federal University of Technology - Parana in 2004. Rafael then pursued a degree in Business Administration at the Universidade Federal do Paraná in 2005-2006. Later, they completed a Master of Science in Financial Engineering from Université de Montréal - HEC Montréal in 2014. Additionally, Rafael passed exams 1 and 2 in PRM and passed the CFA Level 2 exam in 2018 through the CFA Institute.

Links

Previous companies

Caisse de dépôt et placement du Québec logo
Optel Group logo
Unify logo
Bank of Canada logo
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Timeline

  • Vice President Treasury And Financial Risks

    October, 2023 - present

  • Managing Director, Treasury And Risk Management

    October, 2018

  • Managing Director, Risk And Financial Markets

    September, 2016

  • Financial Risk Analyst & Trader

    January, 2013

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