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Francesca Buzzichelli

Docente a contratto
Sede: Roma
Dipartimento: Scienze economiche, politiche e delle lingue moderne
Corso di laurea: Economia, management e amministrazione d'azienda - Mediazione linguistica e culturale

Insegnamenti e orario di ricevimento

  • Corporate governance

    Via Pompeo Magno, 22
    Please, send an email to professor whether information is needed

    Note: For the final exam, both registrations to the written and the oral dates are required
  • Economia aziendale II

    Via Pompeo Magno, 22
    Inviare email al docente per richiesta di ricevimento

    Note: Per sostenere l'esame finale è necessario registrarsi sia all'appello scritto che all'appello orale
  • Curriculum Vitae

       

    WORK EXPERIENCES     

    • Since 2000 to date

    Functionary at IVASS – Italian Insurance Supervisor Authority –Via del Quirinale, 21 – Roma

    • Current Occupation (since 2015)

    Prudential Supervision Department: involved in the supervisory authorization process for the approval of Internal Models of the main  Italian insurance groups, according the entry in force of the European Directive 2009/138/EC (Solvency II).  Joining both quantitative team, aimed to analyze actuarial methodologies and estimations of market and credit risks solvency capital, and qualitative team, aimed to analyze the System of Governance and the Own Risk Solvency Assessment of the main Italian Insurance Groups

    • Since 2013 to 2015

    Supervision and On-site Inspection Departments

    • Since 2009 to 2013

                  International Affairs Department. Duties and Responsabilities:

          ·         Responsible for representation of Italian regulation and actuarial practices within European working groups at CEIOPS (Committee of European Insurance and Occupational Pensions Supervisors)- replaced by EIOPA - which collaborates with European Commission to final Regulation and measures on insurance and reinsurance solvability, as enacted by European Directive 2009/138/EC (Solvency II)

          ·         Assignments resources training on corporate governance system and risk management,  technical actuarial issues, with direct reference to developments and innovations introduced by EU legislation

    • Previous Occupations (since 2000 to 2009)

                      at IVASS: Inspections Department, Supervision Department: Non-life insurance actuarial technical section

    • Since 1994 to 2000

        Analyst programmer at TELESOFT S.p.A. of TELECOM ITALIA GROUP. Software development, planning and development of product specifications, programming (COBOL, SQL) 

     

    EDUCATION

    • Academic Year 2015-2016: Appointed professor of CORPORATE GOVERNANCE at the Department of Economic, Political Sciences and Modern Languages at the Maria Assunta Free University (LUMSA)
    • Jan. 2015             Qualification for the awarding of teaching contracts for official courses within degree programs at  Departiments of Business and Management and Economics and Finance at LUISS Libera Università Internazionale degli Studi Sociali Guido Carli in Rome, cowering the academic disciplines SECS-P/07 - Business Administration and Management
    • Nov. 2013           PhD in “ACCOUNTING AND BUSINESS ADMINISTRATION AND CORPORATE BUSINESS” - XXVI Program - University of Siena - Department of Business and Law – Thesis: "EUROPEAN INSURANCE COMPANIES INTERIM REPORTS. An investigation of the extent of disclosure moving from a Content Analysis Approach".  Supervisory Tutor: Professor Roberto Di Pietra.
    • Oct. 2013             Expert ('cultore della materia') in "ECONOMIA AZIENDALE" and "REVISIONE AZIENDALE", Università di Siena
    • Sep. 2013            SUMMER SCHOOL ON RESEARCH METHODS IN MANAGEMENT STUDIES - Capri, Villa Orlandi, Italy
    • Nov.1994            Officially Qualified  to practice actuarial profession
    • May 1994            Degree in Statistics and Actuarial Sciences – University of Rome – «La Sapienza» with 110/110 cum Laude. Thesis: « Statistical sampling for the study of biological populations ». Department of Statistics, Probability and Applied Statistics – University of Rome «La Sapienza», in collaboration with  Institute of Zoology at the Faculty of Mathematical, Physical and Natural Sciences of the same University. Thesis supervisor: Professor Mario Badaloni.

                                   

    SEMINARS/CONGRESS/COURSES          

    Participation as presenter at several seminars/congress/courses.

                    Last participations:

    • "Is the 'comply or explain' principle enough to guarantee a good governance? The Italian corruption scandal of a primary insurance company", VERONA, Financial Reporting V workshop, 12-13 June 2014
    • "IFRS 7 disclosures 'through the eyes of managers'. A preliminary study of EU Insurance companies risk reports", VERONA, Financial Reporting V workshop, 12-13 June 2014
    • "International Accounting Standard Board" University of SIENA, Department of Business and Law - International Consolidated Balancesheet Course , 13 Maggio 2014
    • "International Standard Setters" University of SIENA, Department of Business and Law - International Consolidated Balancesheet Course, 12 Maggio 2014
    • "Il processo di armonizzazione contabile" University of SIENA, Department of Business and Law - International Consolidated Balancesheet Course, 14 April 2014
    • "IAS 34 - Interim Financial Reporting" University of SIENA, Department of Business and Law - Financial Accounting Course, 16 December 2013
    • “The IAS 34 adoption within EU Insurance companies. How risky is their risk disclosure?”   VALENCIA - European Financial Reporting EUFIN 9th workshop, 4-5 September 2013
    • “The IAS 34 adoption within EU Insurance companies. How risky is their risk disclosure?”   SIENA, Accounting and Regulation 6th workshop, 4-6 July 2013
    • “The IAS 34 adoption within EU Insurance companies. How risky is their risk disclosure?”   ROMA, Financial Reporting 4th workshop,13-14 June 2013
    • “Risk profile disclosure requirements for Italian insurance companies: differences in the financial statements preparation”   FIRENZE - Financial Reporting 2nd workshop,16-17 June 2011
    • “Il sistema della gestione dei rischi nelle imprese di assicurazione: verso Solvency II” MILANO – CETIF/ Università Cattolica del Sacro Cuore – workshop on “Enterprise Risk Management”, October 2010
    • “Solvency II : QIS5 Standard Formula and Technical Provisions”, SOFIA - “Bulgaria Twinning Project on Solvency II”, April 2010

    Principali pubblicazioni

    Pubblicazioni  

    • F. BUZZICHELLI and R. DI PIETRA (2013) “Risk profile disclosure requirements for Italian insurance companies: differences in the financial statements preparation”, Financial Reporting  n. 1, pp. 43-79

     Papers/Works in Progress   

    • "Is the 'comply or explain' principle enough to guarantee a good governance? The Italian corruption scandal of a primary insurance company", June 2014
    • "IFRS 7 disclosures 'through the eyes of managers'. A preliminary study of EU Insurance companies risk reports", June 2014
    • “The IAS 34 adoption within EU Insurance companies. How risky is their risk disclosure?”, July 2013
    • “Why, when and how interim reports. peculiarities for Italian insurance listed companies: a preliminary study” – November 2011
    • “System dynamics and applications to insurance companies” – June 2012
    •   “IAS34 and first European insurance companies adoption” – October 2012

    Corsi di Laurea Master e Post Laurea