Roberto Imbimbo
About Roberto Imbimbo
Roberto Imbimbo is an experienced EMEA Market Risk and Counterparty Credit Risk Business Analyst at HSBC, with a background in market risk and quantitative analysis. He has worked at notable institutions such as Morgan Stanley and Unilever, and holds multiple degrees in finance and economics from prestigious universities.
Current Role at HSBC
Roberto Imbimbo currently serves as an EMEA Market Risk and Counterparty Credit Risk Business Analyst at HSBC. He has held this position since 2021, working in London, England. In this role, he focuses on analyzing market risks and managing counterparty credit risks within the EMEA region.
Previous Experience at Morgan Stanley
Prior to his current role, Roberto worked as a Market Risk Specialist at Morgan Stanley from 2018 to 2021 in London, United Kingdom. During his tenure, he contributed to the assessment and management of market risks, enhancing the firm's risk management framework.
Educational Background
Roberto holds multiple degrees in finance and economics. He completed his Master of Science in Investment and Finance at Queen Mary University of London in 2017. He also earned a Master of Research in Economics and Finance from Università degli Studi di Napoli Federico II in 2015, and a Bachelor's degree in Economics and Management of Financial Institutions from the same institution in 2013. Additionally, he studied Financial Mathematics at the University of Paris I: Panthéon-Sorbonne, and Computational Finance at Hochschule für Technik und Wirtschaft des Saarlandes Saarbrücken.
Professional Skills and Expertise
Roberto has a strong background in project management and internal capital models. He has experience in developing Front Office applications and translating technical jargon into business terms for stakeholders. His expertise includes the development and validation of market risk models such as Value at Risk (VaR), Expected Shortfall, and FRTB implementations.
Career Development and Roles
Roberto's career includes various roles in financial institutions. He worked as a Quantitative Research Analyst at QUMMIF | Investment Fund from 2016 to 2018 and as a Business Architect at Nordea Markets for five months in 2018. He also served as a Lead Data Analyst at Unilever from 2017 to 2018 and as a Credit Risk Analyst at Banco di Napoli in 2013.