Manuel Mondia
About Manuel Mondia
Manuel Mondia is a Risk Modeling & Analytics Specialist currently employed at UBS in Zurich, Switzerland. He has a strong background in finance, having completed internships and roles at various financial institutions, and holds a Master's degree in Banking and Finance from the University of Zurich.
Current Role at UBS
Manuel Mondia serves as a Risk Modeling & Analytics Specialist at UBS, a position he has held since 2020. His role involves analyzing risk factors and developing models to support decision-making processes within the organization. He is based in Zurich, Switzerland, where he applies his expertise in risk management and analytics to enhance the bank's operational efficiency.
Previous Experience at UBS
Prior to his current role, Manuel Mondia worked as an Investment Bank Fixed Income Sales intern at UBS from 2019 to 2020. During this six-month internship, he gained valuable insights into fixed income products and sales strategies, contributing to his understanding of investment banking operations.
Education and Expertise
Manuel Mondia holds a Master’s degree in Banking and Finance from the University of Zurich, where he studied from 2017 to 2019. He also earned a Bachelor of Arts in Economics with a focus on general finance from USI Università della Svizzera italiana, completing his studies from 2013 to 2016. His academic background provides a solid foundation for his work in risk modeling and analytics.
Internship Experience
Manuel Mondia has completed several internships that have shaped his career in finance. He interned as a Junior Analyst at First Capital S.p.A. in 2015 for one month and as an Investment Risk Management Intern at Pioneer Investments in 2017 for two months. Additionally, he worked as an Internship Investment Analyst at Swiss Re in 2020 for five months, and as a Portfolio Analyst at PMP Zürich from 2017 to 2018.
Portfolio Management Experience
Manuel Mondia has significant experience in portfolio management. He worked at PMP Zürich as a Portfolio Manager from 2018 to 2019 for one year, and as a Portfolio Analyst from 2017 to 2018 for eight months. His roles involved analyzing investment portfolios and making recommendations to optimize performance.