Giulio has advised many of the foremost Italian banks on a wide range of topics, including strategy, risk management and organization. He focuses on strategic planning and the evaluation and execution of M&A in financial services, including post-merger integration and turnaround activities.
His core areas of expertise include strategic planning, risk management, M&A, PMI and balance sheet management. He also works with clients to address credit topics including credit platforms, early warning and NPL management and selling.
Within strategic planning , Giulio focuses on multiyear planning, lending strategies, EVA framework and models. His risk management knowledge encompasses risk appetite framework, stress testing, risk strategies and rating model development.
Prior to joining Bain in 2006, Giulio worked as a consultant for other firms and as a member of UniCredit’s credit strategies and stress-testing unit.
He holds a bachelor’s degree in economics from Bocconi University.
- “For European Banks, Time to Set a New Course after the Storm,” Brief, August 2021
- “Banks Are Mining New Forms of Value with Sustainability,” Infographic, July 2020
- “Banks in the Age of Covid-19: Protect, Serve and Build Resilience,” Brief, April 2020