Marco Giorgino

 Marco Giorgino, 44 years old, is Full Professor of Finance and of Risk Management at the Polytechnic University of Milan and Head of the Banking and Finance area at MIP School of Management (Equis Accredited, MBA FT Business School Rankings).
Since 1992 he teaches at Politecnico di Milano and at the MIP business school courses in Corporate Finance, Markets and Financial Institutions and Risk Management, in undergraduate and graduate programs, including MBA, Executive MBA and PhD. He also holds many training sessions within master courses and other courses tailored for companies, banks and asset management companies.
He is Member of the Teaching Staff of the Doctoral School in Management, Economics and Industrial Engineering (DRIG) at Politecnico di Milano and Coordinator of the Finance Specialisation for the degree course in Management, Economics and Industrial Engineering at Politecnico di Milano. 
Marco Giorgino has been carrying out teaching activities at Politecnico di Milano and MIP School of Management continuously since 1992, and he participates in and coordinates several  scientific projects and research activities. He currently is Director of RiskGovernance and Scientific Director of the Innovation in Public Finance research project co-funded by Fondazione Cariplo, at Politecnico di Milano.
Recently his research activities have been focused mainly on topics in Corporate Governance and Risk Management.
Other current appointments include:
-Auditor for the Italian Association of Management Engineers (Associazione italiana di Ingegneria Gestionale, AiIG);
-Editor-in-Chief of the Journal of Enterprise Risk Management, PF Publishing Ltd., London (UK);
-Member of the Scientific Committee of the Institute for Public and Innovative Finance (Istituto per la Finanza Innovativa e Pubblica, IFIP);
-Member of the  Italian Association of Management Engineers (Associazione italiana di Ingegneria Gestionale, AiIG), of the Eastern Finance Association (EFA), of the European Accounting Association (EAA).
He is author of more than 80 scientific publications on various topics of Banking, Finance and Risk Management.
He is also trainer and consultant for banking groups, institutional investors and industrial groups. His consulting activities include business and investments valuations, M&A advisory, corporate governance and risk.
He serves also as Independent Director or Chairman and as Statutory Auditor in listed and not listed Banking and Industrial Companies.