Sei in: Home > F2i SGR > AUDIT FUNCTIONS > Marcello Garolla Di Bard - senior partner, risk manager

Marcello Garolla Di Bard - senior partner, risk manager

marcello_garolla

Education

1982 
Degree in economics, Bocconi university, Milan

Professional experience

In F2i since 2007 

2001-2007 
Agora Investments Sgr

1998-2001 
Ernst & Young

1983-1998
Bank of Italy

Published articles

Risk management in asset management, Bancaria n.3/2002

More independence between banks and asset management companies, Il Sole 24 Ore, February 23rd 2003

Banks’ risks, more disclosure needed, Il Sole 24 Ore, April 7th 2000

The challenge of risk management at the start, Il Sole 24 Ore, March 15th 2000

“Banking Risk Disclosure in Annual Reports Pan-European Survey 2000”, April 2000 (for the part relative to Italian banks).

Since February 2007 in F2i, where He played a significant role in the start-up phase of F2i and, after that, in the management of operations of the Asset Management Company. Since December 2015 He has taken the responsibility for Risk Management, still playing the role of Secretary of the BoD and of the Investment Committees.

Relevant experience in the risk management field


At the Bank of Italy

From 1989 to 1991 He took part to the financing activities of the Treasury on International markets (a task at the time carried out by the Bank of Italy in name and on behalf of the Treasury) working on bond issuance in all the main currencies.

From 1991 to 1993 He took part to the management of the Bank of Italy’s currency reserves and to the process of modernization and rationalization of their investment.

From 1993 to 1998 He had responsibilities in the activity of managing the currency liabilities of the Treasury (a task at the time carried out by the Bank of Italy in name and on behalf of the Treasury), with the responsibility of a multi-currency “swap book”.
 

At Ernst Young

He has been referent for risk management and portfolio management advice to banks, financial intermediaries and insurance companies.