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Degree in Business Economics – Corporate Finance specialization – at the Luigi Bocconi University of Milan in 1989.

He began his professional career in 1991 as an auditor at a leading US accounting firm where he was involved in mandatory auditing procedures for financial institutions, asset managers, banks and insurance companies.

From 1994 to 2000, he held the role of Internal Control Manager of a leading Securities Brokerage Company where he set up the Internal Control function and implemented the second-level control structure also on behalf of other group companies.

In 2000 he joined a global investment bank as Italy Country Compliance Officer and then Country Compliance Executive for continental Europe and for the entire EMEA region ex-UK.

Since September 2017 he has been collaborating with Atrigna & Partners, supervising the Compliance area of the Firm through the coordination of a team dedicated to performing outsourced internal control functions (second and third level control functions) and providing advice on regulatory and compliance matters in the drafting of corporate policies and regulatory due diligence assignments.

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