Enrico Dallavecchia

Senior Managing Director

Enrico Dallavecchia has over 20+ years of experience in measuring portfolio risk and developing risk measurements in sophisticated financial institutions, large family offices and family business holding companies.

Enrico Dallavecchia is a Senior Managing Director with HWSC. Mr. Dallavecchia is an expert in measuring portfolio risk, an expertise he has accumulated over 20+ years developing risk measurements in sophisticated financial institutions. He leads our risk management practice related to: (i) considering risk related to operating business growth strategies, (ii) company capitalization and financing transactions, (iii) capital investment plans, and (iv) measuring portfolio risk relative to the inter-play among wealth allocated to direct investments in operating businesses or operating asset, and the other investment assets classes owned by wealthy families including super-liquid investments, liquid and semi-liquid investments, and alterative investments. He devotes most of his practice time working with large single family offices, large scale family business holding companies or enterprises, and upper middle market companies.

Prior to joining HWSC in 2012, Mr. Dallavecchia served as the Chief Risk Officer and Executive Vice President of PNC Financial Services, reporting to the President and Chief Executive Officer, from April, 2010 to December, 2011. He had responsibility for all aspects of risk management, including credit, market, counterparty, model and operational risk, and for compliance.

From June, 2006 to August, 2008, Mr. Dallavecchia was Fannie Mae's Executive Vice President & Chief Risk Officer, reporting to the President and Chief Executive Officer and the Board of Directors. At Fannie Mae, he had responsibility for credit, market, counterparty, and operational risk oversight for all business units within Fannie Mae, and was responsible for measuring, reporting and monitoring Fannie Mae's risk profile and for formulating risk policies.

Prior to joining Fannie Mae, Mr. Dallavecchia was with JP Morgan Chase for 19 years. He was the head of Market Risk Management for the Chief Investment Office and Retail Financial Services. His responsibilities included oversight of the firm's global investment portfolios and structural FX exposures. He also was responsible for managing market risk for retail, mortgage and small-business banking, as well as auto and student-loan financing. Previously, he was responsible for managing the market risk of the company's global treasury and proprietary positioning divisions on a worldwide basis, and co-headed the Market Risk Technology group.

From 1997 to 1999, Mr. Dallavecchia was based in London where he was a managing director, responsible for the market risk of fixed-income and emerging market activities and treasury in Europe and Asia. His banking career began in 1987 when he joined Manufacturers Hanover/Chemical Bank in Milan, where he worked on developing derivatives markets in Italy and other European countries.

Before entering Banking, Mr. Dallavecchia was a teaching associate, econometrics at the Università Cà Foscari, Italy; a research associate for the Italian National Research Agency; and served as lieutenant in Italian Army's Brigata Alpina Cadore. Mr. Dallavecchia has a degree in economics, summa cum laude, from the Università Cà Foscari in Venice, Italy. He resides in Sewickley, PA.

 

Return to Previous Page