Summary
Marco Bonifacio is a seasoned quantitative analyst and risk manager with over 11 years in asset management, currently leading risk oversight and reporting at Zenit SGR in Milan. FRM-certified and holder of an RAI certificate, he combines deep quantitative skills with practical implementation experience—building web dashboards, private debt pricing models, and an operational risk evaluation system used by the Board. He has a long track record of managing portfolio risk and performance, from hedge fund of funds to market risk software selection and MiFID suitability reviews. A Bocconi graduate with top honors, Marco pairs academic rigor with hands-on coding in Python to automate risk processes. He is known for turning complex regulatory and modeling requirements into clear, auditable systems and for bridging research, investment committees, and technology delivery.
11 years of coding experience
10 years of employment as a software developer
Degree in Business Administration, Corporate Finance, 110/110 cum laude, Degree in Business Administration, Corporate Finance, 110/110 cum laude at Università Commerciale 'Luigi Bocconi'
High School Diploma, Scientific studies, 60/60 cum laude, High School Diploma, Scientific studies, 60/60 cum laude at Liceo Scientifico Cremona
Italian, English