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Senior Director, Head of In Business Risk, Capital and Collateral at Lloyds Banking Group
After finishing his MSC in physics Matteo worked 3 and a half years in equity derivatives Algo Trading in Italy before moving to London. After a short experience as a quant in option market making Matteo ended up in Lloyds where he is currently employed.
In Lloyds Matteo spent 2 years as a CVA/FVA quantitative researcher during which time he ended up doing a lot of work from a quantitative and regulatory perspective for the repo desk as well as the CVA desk. At the beginning of 2014 he joined the repo desk as a Collateral Optimisation Trader and has been responsible for capital and collateral optimization trades such as clearings, compressions, setting up Bilateral Independent Amounts and Initial Margins, for choosing and sourcing the collateral to post for initial and variation margin for CCPs and CSAs.
Matteo is now heading the In Business Risk, Capital and Collateral team in Financial Markets with full responsibility for capital and collateral management and heading a first line risk team.