Vice President of the Management Board supervising the Risk Management Division
Since 17 years working for Bank Pekao Group. Till June 2017 he has worked in Unicredit SpA (Milan) as a Senior Vice President, with a global responsibility for market and traded credit risk management and a member of Unicredit Corporate and Investment Banking Markets; Executive Committee, in charge of risk management. Previously, from 2010 till 2013 he has worked in Unicredit Bank AG (formerly Hypovereinsbank) in Munich, supervising market, counterparty credit and operational risks management.
From 2008 till 2010, he was Unicredit's Global Head of Market Risk Architecture and Methodologies. Previously, from 2000 till 2008 he has been Market Risk Trading Book Unit, Managing Director, Head of Financial Risk Department. For 8 years he has been Member and then Secretary of the Supervisory Board of Pekao's equity brokerage house, CDM Pekao S.A. He has started his professional career as a trader in Treasury Department of Bank Handlowy w Warszawie S.A. He holds Ph.D. in Economic from Warsaw School of Economics, and he is also an alumnus of University of Illinois (Executive MBA) and INSEAD. In 2014 he has been named Future Leader in Global Finance by the Institute of International Finance.
Marek Lusztyn fulfills suitability requirements determined in art. 22aa of Banking Law Act.