Marta Mazzarella
About Marta Mazzarella
Marta Mazzarella is a Credit Risk Analyst at Coface, where she has worked since 2016. She has a diverse educational background, including a master's degree from Università di Pavia and a bachelor's degree in business administration from Università degli Studi dell'Insubria.
Work at Coface India Credit Management Services PVT L
Marta Mazzarella has been employed as a Credit Risk Analyst at Coface since 2016. In this role, she is responsible for assessing credit risks and providing insights to help manage financial exposure. Her experience at Coface spans over eight years, during which she has developed a strong understanding of credit management practices and risk assessment methodologies.
Education and Expertise
Marta Mazzarella has pursued a comprehensive educational path in business and finance. She has been studying at Northern Arizona University since 2014. Prior to this, she completed her Master's degree at Università di Pavia from 2013 to 2015. Additionally, she earned a Bachelor's degree in Business Administration from Università degli Studi dell'Insubria, where she studied from 2009 to 2012. Her foundational education includes five years at Liceo Scientifico from 2004 to 2009.
Background
Before joining Coface, Marta Mazzarella worked as a Sales Assistant at Dufry Group from 2010 to 2012. This role provided her with valuable experience in customer service and sales, which contributed to her skill set in understanding client needs and market dynamics. Her diverse background in both sales and finance has equipped her with a unique perspective in her current role as a Credit Risk Analyst.
Professional Experience
Marta Mazzarella's professional journey includes significant experience in both sales and credit risk analysis. Her tenure at Dufry Group as a Sales Assistant laid the groundwork for her analytical skills, which she further developed at Coface. Since 2016, she has focused on credit risk analysis, applying her educational background and previous work experience to assess and mitigate financial risks.