Marek Figiel

Marek Figiel

Intern in Corporate Finance

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location of Marek FigielCracow Metropolitan Area

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  • Timeline

  • About me

    Lead AVP - Global Risk Analytics w HSBC

  • Education

    • Fachhochschule des bfi Wien

      2015 - 2016
      Master's degree in Quantitative Asset and Risk Management
    • Uniwersytet Ekonomiczny w Katowicach

      2014 - 2016
      Master's degree in Quantitative Asset and Risk Management

      Master's degree thesis: Application of econometric models with autoregressive structure in electricity generation analysis.

    • Uniwersytet Ekonomiczny w Katowicach

      2011 - 2014
      Bachelor's degree in Finance Engineering Finance and Accounting

      Bachelor's degree thesis:Volatility analysis of WIG20 index using GARCH models.

  • Experience

    • Grant Thornton Poland

      May 2015 - Sept 2015
      Intern in Corporate Finance
    • Grant Thornton Poland

      Nov 2015 - May 2016
      Assistant in Transaction Advisory

      M&A transactions and capital raising processes support:- preparation of Informational Teaser and Investment Memorandum- preparation of Long List of companies meeting the aquisition criteria or seeking for potential investors- analysis of capital market performance - business valuation

    • Getin Noble Bank S.A.

      Jun 2016 - Jun 2017
      Market Risk Inspector

      - Preparation of interest rate risk reports for ALCO purposes- Measurement and reporting interest rate risk: Stress Tests, Yield Curve Risk, Gap Analysis- Implementation of interest rate risk measures in accordance with EBA Guidelines and IRRBB- Participation in financial statement preparation (interest rate risk notes)- Business administration of system for market risk analyses

    • HSBC

      Jul 2017 - now

      - Market Risk Model Performance Team Leader: creation of analytics for model performance measurement - Counterparty Credit Risk for internal risk measurement purposes- Risks Not In Model Engines (RNIME) quantification - XVA Valuations: Credit, Debit and Funding Valuation Adjustments (CVA, DVA and FVA) - XVA Valuations: Credit, Debit and Funding Valuation Adjustments (CVA, DVA and FVA) - IPV (Independent Price Verification) and FVA (Fair Value Adjustment) of vanilla and structured rates OTC derivatives- Improvement and implementation of valuation methodologies- Participation in development/testing of existing and new pricing tools

      • Lead AVP - Global Risk Analytics

        Sept 2023 - now
      • AVP - Global Risk Analytics

        Sept 2021 - Sept 2023
      • Process Manager - Product Control Valuations

        Sept 2020 - Aug 2021
      • Senior Valuation Controller

        Apr 2019 - Sept 2020
      • Valuation Controller

        Jul 2017 - Mar 2019
  • Licenses & Certifications

    • Post Graduate Certificate in Valuation and Risk

      Middlesex University
      Oct 2017
    • Programista Python

      ALX Academy
      Mar 2024
      View certificate certificate
    • Analiza danych i AI, uczenie maszynowe i deep learning dla znających Pythona

      ALX Academy
      Jun 2024
      View certificate certificate