
MSc Banking & Finance / Milan
Portfolio 2026 / 45.46 N, 9.19 E
Finance through a sharper lens
Roberto
Farenga
I turn complex financial questions into clear, defensible analysis across banking, valuation and capital markets.
Profile / 01
Rigour in the model.
Clarity in the decision.
Finance is most useful when the reasoning behind the number is as strong as the number itself.
My background combines an MSc in Banking & Finance with experience in treasury, asset liability management and M&A advisory. I work at the intersection of data, business context and disciplined financial thinking.
MSc
Banking & Finance
02
Finance internships
04
Selected studies
MI
Based in Milan
Selected work / 02
Evidence,
not decoration.
Experience / 03
Inside
the work.
01 / February 2025 – May 2025
Epyon Vivida
Corporate Finance / M&A Intern
Support to M&A and corporate finance activities within a boutique advisory environment.
02 / March 2024 – August 2024
Intesa Sanpaolo
Treasury / Asset Liability Management Intern
Support to treasury and ALM activities within a banking environment.
Method / 04
How I move from question to conviction.
01
Frame the question
Define the decision, isolate the variables and make every assumption explicit.
02
Build the evidence
Connect financial statements, market data and academic research into one coherent view.
03
Stress the answer
Test scenarios, challenge the model and communicate what materially changes the outcome.

Milan / Italy
About / 05
Curious by nature. Precise by practice.
I am interested in the moments where markets, businesses and regulation meet. That curiosity drives how I research, model and explain financial problems.
More about me