Marco Colombo

Risk Analyst @ Raymond James | Credit Risk | Financial Risk Management

London, England, United Kingdom

About

Finance professional with a Master’s in Finance and Investment and executive education in M&A from Imperial College Business School. Experienced in financial analysis, risk management, and actively involved in corporate finance and investment strategy. I bring a curiosity-driven and analytical mindset, with a strong focus on business performance, long-term value creation, and data-informed strategic decision making. Entrepreneurial, results-oriented, and committed to driving growth through clear financial insight and disciplined execution.

Experience

  • Risk Analyst at Raymond James
    Sep 2024 - Present · 1 yr 10 mos

    Financial Risk Management - Credit Risk

  • Member at LPEA - Luxembourg Private Equity & Venture Capital Association
    Jun 2024 - Present · 2 yrs 1 mo

  • Financial & Risk Analyst at Utmost Group
    Jan 2024 - Aug 2024 · 8 mos

    Performed market risk analysis on investment portfolios Produced risk reports used by senior management

  • Financial Analyst Intern at Poliform
    Jan 2022 - Apr 2022 · 4 mos

    Supported budgeting and forecasting processes Analysed financial performance and variances

  • Business Development Intern at G11 Media S.r.l.
    Jan 2021 - Jul 2021 · 7 mos

    Conducted market analysis and reviewed potential acquisition targets, supporting initial assessment of deals