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 Marek Lusztyn, PhD, Assistant Professor

 
​He holds a Doctorate in Economics from the Warsaw School of Economics, an Executive MBA of the University of Illinois at Urbana-Champaign and the University of Warsaw, is an alumnus of INSEAD and holds a bachelor’s degree in Computer Science and Engineering. He also completed numerous programs in the field of banking and management, among others at the Stanford Graduate School of Business, SDA Bocconi and the Singularity University.

 

Since 2021 Assistant Professor at Institute of Banking of the Warsaw School of Economics, earlier, 2019-2020, he has been a member of the University Board of the Warsaw School of Economics, to which he was elected by the University Senate with a recommendation of the University's Corporate Partners' Club, formed by leading local and international companies closely cooperating with the University.

 

Banker with 25 years of banking industry experience, currently, since 2020, Deputy Chairman of the Management Board of mBank S.A., Chief Risk Officer.

 

For the previous 20 years he worked at the Bank Pekao S.A., which from 1999 until 2017 was a part of the Unicredit Group. From 2017 to 2020 he assumed roles in the Management Board of the Bank Pekao S.A., where he held positions of Chief Executive Officer and Chief Risk Officer. During 2008-2017 he held senior executive positions within the international structures of UniCredit SpA, in London, Munich and Milan, where he was responsible for the global risk management functions. Earlier, during 2000-2008, he held several managerial positions at the Bank Pekao S.A., among others a Director of the Financial Risk Department.

 

He started his professional career at the Bank Handlowy w Warszawie S.A., where from 1996 to 2000 he worked in the Treasury and Foreign Exchange Departments.

 

In 2014 he was named the Future Leader in Global Finance by the Institute of International Finance, Washington, DC.

 

From 2000 to 2008 at the Warsaw Institute of Banking a lecturer in the fields of banking risk management, banking controlling, asset liability management and financial derivatives.

 

Research specialization

• Banking risk management, including market, liquidity, credit and operational risk,

• Bank management,

• Institutional conditions of banking activity,

• Security of the banking system,

• Organization, regulations and instruments of banking supervision.