Luca Lisella
About Luca Lisella
Luca Lisella is the Financial Risk Management Team Lead at Murex, where he has worked since 2013. He specializes in financial risk management and collateral management, providing support to clients and contributing to the implementation of key regulatory solutions in the EMEA region.
Work at Murex
Luca Lisella has been employed at Murex since 2013, initially serving as a Consultant in Financial Risk Management and Collateral Management. In 2018, he advanced to the role of Financial Risk Management Team Lead, a position he has held for six years. His work is based in Paris, France, where he contributes to presales activities by estimating projects and defining project plans and dependencies. He provides specialized support and advice to clients on the Murex platform, focusing on areas such as Credit Risk, Collateral Management, Market Risk, and Clearing. Additionally, he actively collaborates with client managers, project managers, and pre-sales teams to ensure the successful delivery of Murex solutions.
Education and Expertise
Luca Lisella holds a Bachelor of Engineering (B.Eng.) in Ingegneria gestionale from Università degli Studi di Roma 'La Sapienza', which he completed from 2008 to 2011. He furthered his education at Università Commerciale 'Luigi Bocconi', where he earned a Master's degree in quantitative finance and risk management in 2012. His academic background provides a solid foundation for his expertise in financial risk management, particularly in implementing solutions for major financial institutions.
Background
Before joining Murex, Luca Lisella worked at Maetrica S.A. as an Analyst for three months in 2013. His career began with an internship at Mediobanca in 2012, where he gained valuable experience over five months in Milan, Italy. These early roles contributed to his professional development and understanding of the financial sector.
Achievements
Luca Lisella has played a significant role in implementing the Fundamental Review of the Trading Book (FRTB) solutions for major financial institutions in the EMEA region. He is also instrumental in developing the expertise of team members in financial risk management, ensuring that the team remains knowledgeable and effective in their roles.