Krzysztof Drenda is an experienced financial risk professional with a strong background in liquidity risk management and regulatory compliance. Currently serving as Senior Manager, Specialist Financial Risk at the Bank of England since June 2018, Krzysztof previously held the position of Vice President (Liquidity Risk) at Barclays, where responsibilities included leading liquidity risk oversight and engaging with regulators. Prior experience includes serving as Vice President of Treasury (Liquidity Risk) at MUFG Securities, where Krzysztof managed liquidity risk and developed stress testing models. Additional roles include Product Controller positions at Santander UK Corporate & Commercial and Deloitte UK, contributing to financial management and tax compliance in financial services. Krzysztof holds a Master’s Degree in International Management from Queen Mary University of London and is a Full Member of The Chartered Institute for Securities & Investment.
Sign up to view 0 direct reports
Get started