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Professional Experience

Oct 2013Sep 2016

Management of the new branch

Pratis Insurance and Investments (Aviva Italy Agency), Turin

▪Use of the Corporate web platform in the management of the customer's portfolio
▪Direct contact with customers
▪Accounting and administrative practices
▪Supervise interns

Developed strong communication skills. This experience has taught me the importance of ascertaining customers’ needs and providing clear and accurate information in response to those needs, to work effectively not only in complete autonomy but also in team.

Nov 2014May 2015

Research Assistant

Collegio Carlo Alberto, Private Research and Teaching Institution, Turin

European Project WERSA

▪Prepared a report on the importance of the retirement planning today based on Italian and UK data

Acquired good skills in the processing and analysis of data. This activitiy was
based on the achievement of goals with specific deadlines allowing me to improve my organizational skills . It has given me the confidence that I can handle more than one task at the same time and I can rapidly learn new skills when required to do so.


Sep 2016Sep 2017

International MBA

Paris School of Business

- Core courses

Economics for Managers, Accounting, Corporate Finance, Marketing Management, Human Resource Management, The Legal Environment of Business, Management & Leadership Skills, Project Management, Research Methodolgy

- Advanced courses

Strategic Risk Management, Entrepreneurship, Digital Business, Management of Innovation Systems, Operations & Supply Chain Management, Corporate Social Responsibilty, European & Global Geopolitics

-International Finance Specialization

International Finance, Advanced Finance, Mergers & Acquisitions, Financial Derivatives & Risk Management, Investments & Portfolio Management, Investment Banking, World Finance Markets


Financial Risk Manager Level I Candidate

Global Association of Risk professionals (GARP)

- Foundations of Risk ManagementThis area focuses on foundational concepts of risk management and how risk management can add value to an organization.

- Quantitative Analysis

Introduction to probability and statistics. Using GARCH and EWMA to estimate correlation and volatility.

- Financial Markets and Products

Analysis of the main financial instruments such as derivatives, corporate bonds,
interest rates, mortgage-backed securities and foreign exchange risks.

- Valuation and Risk Models

Introduction to valuation techniques and risk models (VAR)

Sep 2011Nov 2014

M.Sc. in Quantitative Finance and Insurance

School of Management and Economics, Turin

▪Core courses: Mathematics for Finance, Numerical and Statistical Methods for Finance, Asset Pricing and Portfolio Choice, Life Insurance Technique, Non-Life Insurance technique, Advanced Financial Accounting and Corporate Finance, Derivatives, Fixed Income, Economic of Savings and Pensions, Law advanced

▪IT Training Course: Simulation of the stochastic Brownian Motion using Visual Basic

▪Thesis: Italian Insurance market. Aviva Italy case study

Sep 2008Oct 2011

B.Sc. in Economics 

School of Management and Economics, Turin

▪Core courses: Mathematics, Statistics, Law, Public Economy, Macroeconomics, Microeconomics, Monetary Economics, Corporate finance, Financial Markets

▪Thesis: Insider trading in Italy


May 2013Jun 2013

Certificate of attendance of the Jean Monnet Chair in the framework of the Lifelong Learning Program of the EU Commission

School of Management and Economics, Turin

▪ Industrial Special Risks Insurance 

Personal Skills

 ▪Mother Tongue: Albanian
▪Italian (C1/ Proficient user)
▪English (B2/ Independent user. Followed the master degree entirely in English)
▪French (Basic knowledge. Two year course at Alliance Francaise, 2008)

Computer skills

▪Visual Basic, R, Shilab