Stefano Nale
Angestellt, Trader, Leonteq Securities AG
Zurich, Schweiz
Werdegang
Berufserfahrung von Stefano Nale
Bis heute 10 Jahre und 2 Monate, seit Mai 2014
Trader
Leonteq Securities AG
FX, Commodities and Precious Metals(PM) Junior Trader – Front Office Pricing and Risk Management of FX first generation exotics (DCIs/Vanilla/Touches and Digitals) Pricing and Risk Management of PM/Commodities structured products (Barriers Structures, Autocalls, Vanilla and digitals) Daily Marking of Volatilities/Correlations/Forwards Project Manager for FICC desk Coverage of Credit and Hybrid Desk (CLNs/Commodities/Interest Rates)
1 Jahr und 1 Monat, Mai 2013 - Mai 2014
Treasurer
Leonteq Securities AG
Treasury and Securities Lending Trader – Front Office Alco Portfolio > 2Bln AUM Issuance Book Risk Management (Rho, FX and Convexity) > 2Bln AUM Execution Desk at firm level for Interest Rate Swaps and Cash Bonds Refinance of special equity via Total Return Swaps Money Markets and Reference Bonds Structured Products pricing and risk management Balance Sheet analysis on the cash/equity/derivative positions
10 Monate, Aug. 2012 - Mai 2013
Business Analyst
Leonteq Securities AG
Sophis Risque Migration Team – Front Office Non Regression testing for Pricing and Risk Static Data Migration and Historical Data / Live Market Data Positions and Trade Bookings (simple, package) P&L (EOY/EOD adjustments, cash adjustments and trade past cash adjustments Treasury and Sec Lending Integration
1 Jahr, Sep. 2011 - Aug. 2012
Senior Business Analyst Trading and Risk
AXPO AG
Business Analyst for Energy Trading Department Business Analysis and Application Management Front to Back for Energy and Power Derivatives Interface between Front Office and IT to define Business Requirements, SLA and KPI. Systems used: Endur by Openlink, Elviz by Brady PLC Project Management and High Level Activity Planning for Business Solutions
3 Jahre und 2 Monate, Juni 2008 - Juli 2011
Senior Front Office Support and Junior Delta One Trader
Leonteq Securities AG
Pricing and Risk Managing Delta One Single Stock Trackers Secondary Market Making(3000 products) Business Analysis and Application Management Front to Back for Structured Products Sophis Risque (Risk and position keeping application): Management of the lifecycle product process between Trading, Operation, Back Office and Risk Management. Project captain of various projects like Expiry process, EoY process, P&L explanation, Greeks analysis Daily P&L/Greeks Management reporting
3 Jahre und 2 Monate, Mai 2005 - Juni 2008
Prop Trading OTC&Hedge Fund Support
Intesasanpaolo
Business analyst and application management for OTC derivatives, in particular credit derivatives (CDx and Risk Informer Software), Hedge Fund (Sophis Value) and Equity derivatives (Imagine software)
Ausbildung von Stefano Nale
3 Jahre und 7 Monate, Sep. 2001 - März 2005
Economics
Università degli Studi di Milano-Bicocca
Sprachen
Englisch
Fließend
Deutsch
Grundlagen
Italienisch
Muttersprache
Spanisch
Grundlagen