Fabiano has participated in a range of consulting assignments with an emphasis on Strategic Risk Management and Basel2/Basel3 covering both the conceptual framework and the implementation aspects.
He built the Italian risk management practice, a leader in the local market. He uses his quantitative expertise to provide assistance to clients in the management of all risks, designing of business models, and the management of financial exposures and controls. Fabiano has significant experience in the field of financial department advisory, mainly built through large scale projects of transformation, risk management, business process improvement, etc.
His primary sectors of focus are Risk Strategy, Financial Risk Management, Basel2-Basel3, Operational Risk Management, Asset Liability Management, Credit Risk Management, Capital Allocation, Capital Markets, and Derivatives.
His in-depth knowledge and experience revolves around the following areas: business model & profitability, market risk, concentration risk, liquidity risk & position, credit & counterparty risk, securitization risk, capital position, IRRBB, operational risk, and internal governance & risk management.