To coordinate and lead activities aimed at analyzing the evolution of financial and capital markets in order to promote financial stability. To take the lead in answering requests for information from international organizations to which the BCRA is a member or with whom it exchanges information.
Marcelo Raffin holds an undergraduate degree in Economics from Universidad Nacional de Córdoba(UNC), and a master’s degree in Economics from Universidad del CEMA.
He joined the BCRA as analyst in 1997. He held different positions in the areas of reserves administration, economic research, and financial regulations. Before being appointed as Financial Stability Senior Manager, he served as Financial Analysis Deputy Manager, Financial System and Capital Market Analysis Manager, and Macroprudential Risk Monitoring Manager.
Before joining the BCRA, he had served as advisor to the presidency of the Committee on Finance of the Argentine House of Representatives. He has taken part in several international forums and seminars, mainly focused on financial stability analysis and macroprudential policy design and implementation for the financial system.