BELTRAME Federico

Position Researcher
Telephone 041 234 8784
E-mail federico.beltrame@unive.it
Website www.unive.it/persone/federico.beltrame (personal record)
Office Department of Management
Website: https://www.unive.it/dep.management
Where: San Giobbe

Academic Qualifications

2018: researcher in corporate finance, Department of Management, University of Venice – Ca’ Foscari (Italy)
2018: “Abilitazione scientifica nazionale (ASN)” associate professor - scientific sector 13 B4
2017: researcher in corporate finance, Department of Economics and statistics, University od Udine (Italy)
2015: yearly research grant on “Bank’s cost of capital”, Department of Economics and statistics, University of Udine (Italy)
2013: Certificate of profitable attendance, Summer School ADEIMF (Italian Association of Academics in Financial Intermediaries’ and Markets’ Economics) on panel analysis
2012: Certificate of profitable attendance, Summer School ADEIMF (Italian Association of Academics in Financial Intermediaries’ and Markets’ Economics) on research methodologies
2012: biennial research grant on “Financial instruments supporting SME’s growth”, Department of Economics and statistics, University of Udine (Italy) – Interreg Program.
2011: yearly research grant on “Financial instruments supporting SME’s growth”, Department of economics and statistics, University of Udine (Italy) and Chamber of commerce of Udine (Italy)
2010: yearly research grant on “Set accounting standards for the Health Service of Friuli Venezia Giulia”, Department of economics and statistics, University of Udine (Italy)
2008: PhD in Business Sciences (research: Rating system of Insurance companies), University of Udine, Italy
2004: MSc in Business Administration, University of Udine, Italy

Others Qualifications

2010: Business consultant, Udine (Italy)

Areas of Interest

Bank capital structure
Mutual Loan Guarantee Istitutions
Cost of capital in SMEs
 

Past teaching Experience

- Lectuer for the following courses, University of Udine, Italy:
Corporate Finance (third year of BA program in Business Economics), academic years 2010/2011, 2011/2012, 2012/2013, 2013/2014, 2014/2015, 2015/2016, 2016/2017, 2017/2018, 2018/2019
Corporate Finance – Advanced course (Second year of MSc program in Banking and Finance), academic year 2012/2013, 2016/2017, 2017/2018

- Temporary lectuer for the following courses, University of Udine Italy
Risk management and International corporate finance (Second year of MSc program in Banking and Finance)
Technique of banking and insurance operations (third year of BA program in Business Economics), academic year 2010/2011
Economics and management of insurance companies (second year of MSc program in Banking and Finance), academic year 2010/2011
SME Organization (third year of BA program in Business Economics), academic year 2011/2012
Financial Analysis (second year of BA program in Banking and Finance), academic years 2007/2008, 2008/2009, 2010/2011, 2011/2012
Teaching and lecturing experiences in post-graduate programs with internationally accredited institutions:
Financial planning, New Europe Master in Banking and Entrepreneurship, Umanesimo Latino, Conegliano, Italy, for years 2005 and 2006

- Other lecturing and teaching experiences:
Corporate finance, SAF Dottori commercialisti (Italy) years 2017, 2018, 2019.
Corporate finance, Master CFO – Coordinator Prof. Eugenio Comuzzi (Italy) year 2018.
Corporate finance, Nice SpA directed to employees, year 2018.
Corporate finance, Unicredit banking group – private banking (Italy), years 2013.
Basel 2, banking activities and financial analysis, Unicredit banking group (Italy), years 2005, 2006, 2007, 2008, 2009, 2010, 2011, 2012, 2013, 2014, 2015, 2016, 2017 and 2018.
Financial statements of financial Intermediaries. Capitalia holding, Rome (Italy), year 2007.
Financial planning and Credit pricing, Monte Paschi Siena bank (Italy), years 2010, 2011, 2012 and 2017
Retail Creditworthiness, Intesa – S. Paolo banking group (Italy), years 2009,2010,2011, 2012, 2013, 2014.
Creditworthiness, Financial Analysis and bank’s reports, Several Cooperatives banks and others financial intermediaries, years 2006, 2007, 2008, 2009, 2010, 2011, 2012, 2013, 2014, 2015, 2016, 2017, 2018.
Bank’s rating system, Business Advisors (Consultique master), Verona (Italy), year 2013
Basel 2 and bank’s reports, Business Advisors (Sole 24 Ore), Catania (Italy), year 2010
Financial planning, Business Advisors (IPSOA master), Ancona (Italy), year 2009.

Other Experience

- Business and Financial Advisor:
Advisor for mutual loan credit guarantee institutions, year 2017 and 2018
Analysis of non performing loan portfolio, year 2015
Implement incentives scheme for employees, year 2013
Financial planner in Building material’s company, year 2012
Request financing and debt restructuring, year 2011
Analysis of Mutual Loan Guaranties Istitutions’ balance sheet, years 2011.
Evaluate project financing operations, year 2010
Financial planner in several Advisor’s companies, years 2007 and 2010
Implement rating system in SME’s, Capp&Capp (Italy), year 2007, 2008 and 2009.
Financial planner and asset allocation, year 2008
Financial analyst, Consultique, Verona (Italy), year 2004.

Conferences

Beltrame F., Polato M. (2018). “Bank’s asset quality review using Debt service coverage ratio: a firm perspective”, Wolpertinger Conference, Modena 30th August – 31th Augost 2018 (as presenter)
Sclip A., Paltrinieri A., Beltrame F. (2018). “Bank risk and lending supply during conventional and unconventional monetary policies” EFMA Conference, Milan 27th June – 30th June 2018. (as a presenter).
Beltrame F., Sclip A. (2017). “The Impact of Non-Performing Loans on Bank’s Cost of Capital” Wolpertinger conference, Santander 30th August-2nd September 2017. (as presenter)
Beltrame F., Previtali D., Caselli S. (2017). “Leverage, cost of capital and bank valuation” EFMA Conference, Athens (Greece) 30th June. (as presenter)
Beltrame F., Previtali D. (2016). “An Asset Cash Flow Method for Bank Valuation” Conference on “Banking and Finance”, Portsmouth (UK) 24th-25th September . (as presenter)
Beltrame F., Previtali D. (2016). “An Asset Cash Flow Method for Bank Valuation” ADEIMF conference, Varese 9th-10th September. (as presenter)
Beltrame F., Previtali D. (2016). “An Asset Cash Flow Method for Bank Valuation” Wolpertinger conference, Verona 1st-2nd September. (as presenter)
Beltrame F., Floreani J., Sclip A. (2017). “Earnings Quality and the Cost of Debt of SMEs” Wolpertinger conference, Verona 1st-2nd September.
Beltrame F., Floreani J., Grasseti L., Miani S. (2015). “Collateral, mutual guarantees, and entrepreneur characteristics: evidence from Austrian and Italian small business loans” The 14th International Conference of the Society for Global Business & Economic Development, New York, 21-24th June.
Beltrame F., Floreani J., Grasseti L., Miani S. (2015). “Collateral, mutual guarantees, and entrepreneur characteristics: evidence from Austrian and Italian small business loans” LUMSA International Rome Conference on Money, Banking and Finance, Rome 2nd December. (as presenter)
Beltrame F., Previtali D., Sclip A. (2015). "Does earnings management affect banks’ cost of funding? An empirical investigation across a European sample” Wolpertinger Conference, Granada, 3rd September.
Beltrame F., Cappelleto R., Floreani J., Mason M., Miani S. (2014). “Understanding the impact of Entrepreneurial Orientation on SMEs’ financiang structure” Global Conference on Business Economics, Management and Tourism, Praga 30th October.
Beltrame F., Floreani (2014). "Accruals quality and cost of debt. The Italian case” 2014 AIB-SE Conference, Miami, 23th-25th October.
Beltrame F., Grassetti L., Previtali D. (2014). "Banks, specific risk and cost of equity: the Bank’s Capital at Risk Model", 2014 AIB-SE Conference, Miami, 23th-25th October.
Beltrame F., Grassetti L., Previtali D. (2014)., "Banks, specific risk and cost of equity: the Bank’s Capital at Risk Model", 2014 Adeimf Conference, Milan, 4th-5th September.
Beltrame F., Grassetti L., Previtali D. (2014)., "Banks, specific risk and cost of equity: the Bank’s Capital at Risk Model", 2014 Wolpertinger Conference, Milan, 4th-5th September.
Beltrame F., Bolognesi E., Dreassi A. (2013). “Credit portfolio quality of Italian Mutual Guarantee Credit Institutions in the financial crisis: an empirical comparison with Cooperative Banks” XXXVI AIDEA Conference, Lecce, 19th-2ith September.

Membership and other activities

2017: Editorial board member “Journal of Modern Accounting and Auditing” (Journal ANVUR and AIDEA – D ranking)
Reviewer for the “Internation Journal of Emerging Markets”
Reviewer for Palgrave MacMillan and Mc Graw-Hill
Referee ativity for AIB-SE Conference
ADEIMF (Italian Association of Academics in Financial Intermediaries’ and Markets’ Economics) member

Tutto quanto in dichiarato nel presente CV corrisponde a verità ai sensi degli articoli 46 e 47 del D.P.R. 445/2000. Presto il consenso al trattamento dei dati personali contenuti in questo curriculum vitae ai sensi del Dlgs 196/2003.