Meet our speaker - Andrzej Gałkowski

Andrzej Gałkowski

Andrzej Gałkowski

KPMG

Andrzej Gałkowski

KPMG

BIO

He joined KPMG in 1999. He leads the Financial Risk Management (FRM) team covering market, credit, regulatory risk management and business models for the financial sector at KPMG in Poland. He is responsible for the implementation of projects related to IFRS 9, Basel III / CRR / CRD IV, business models (dynamic pricing, antichurn), MiFID II / MiFIR, BRRD, Solvency II, IAS 39, IAS 32, IFRS 2, IFRS 13, IFRS 7, He has extensive experience in projects related to hedge accounting, Recommendation P, Recommendation W, variable remuneration components, EMIR, AIFMD, UCITS IV, as well as opening bank branches in accordance with the EU passport and support in preparations for FSA inspections. He also has extensive experience in FX risk (FX), interest rate risk (IR), commodity risk (CERM), liquidity risk (liquidity) and credit risk projects. In addition, he is responsible for supervising audits of treasury areas and market risk departments in the largest Polish banks and listed companies. He also conducts numerous training courses on: financial and regulatory risk management, accounting for financial instruments (IAS 39 / IFRS 9) and valuation of financial instruments. His clients are mainly large and medium-sized banks and other financial institutions, including insurance companies, leasing and factoring companies, asset management institutions, and energy sector entities. He also runs numerous projects within FRM CEE.