Marcin Lehmann

Marcin Lehmann Email and Phone Number

Wrocław, PL
Marcin Lehmann's Location
Wroclaw Metropolitan Area, Poland
Marcin Lehmann's Contact Details

Marcin Lehmann work email

Marcin Lehmann personal email

n/a
About Marcin Lehmann

Experienced Risk Manager familair with quantitative and qualitative methods to manage a loan/lease portfolio (SME and Corporate sector), business analyst, sql. To seize opportunities to seek job positions within risk management and/or finance area with a personal goal to keep the good balance between private and labour duties

Marcin Lehmann's Current Company Details
Krajowy Rejestr Długów Biuro Informacji Gospodarczej SA

Krajowy Rejestr Długów Biuro Informacji Gospodarczej Sa

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Risk and Analyst Manager
Wrocław, PL
Website:
krd.pl
Employees:
249
Marcin Lehmann Work Experience Details
  • Krajowy Rejestr Długów Biuro Informacji Gospodarczej Sa
    Risk And Analyst Manager
    Krajowy Rejestr Długów Biuro Informacji Gospodarczej Sa
    Wrocław, Pl
  • Krajowy Rejestr Długów Biuro Informacji Gospodarczej Sa
    Risk & Analyst Manager
    Krajowy Rejestr Długów Biuro Informacji Gospodarczej Sa Oct 2020 - Present
    Wroclaw Metropolitan Area
    - to oversee the performance of our risk portfolio, continuously monitoring for fluctuations or anomalies that could signal potential issues- to analyze historical and current trends to forecast potential risks and opportunities by utilizing data-driven insights to identify emerging risks, providing recommendations to adjust strategies and mitigate adverse outcomes before they materialize - to design and implement risk scoring models to assess creditworthiness and other factors… Show more - to oversee the performance of our risk portfolio, continuously monitoring for fluctuations or anomalies that could signal potential issues- to analyze historical and current trends to forecast potential risks and opportunities by utilizing data-driven insights to identify emerging risks, providing recommendations to adjust strategies and mitigate adverse outcomes before they materialize - to design and implement risk scoring models to assess creditworthiness and other factors affecting our portfolio; these models are developed and refined using statistical techniques, ensuring they provide reliable, predictive insights - to build comprehensive risk reports (VBA, SQL) for senior management and key stakeholders, which summarize the risk landscape and provide actionable insights - to develop risk mitigation strategies, ensuring that risks are managed effectively in alignment with the organization's objectives, incl. enhancing internal controls, or adjusting business strategies to reflect the current environment - to work closely with finance, operations, and business & product teams to ensure risk&opportunities are integrated into strategic decision-making processes Show less
  • Alior Bank S.A.
    Head Of Analysis And Control
    Alior Bank S.A. Nov 2018 - Dec 2020
    Warsaw, Masovian District, Poland
    Managing group of well-trained specialists responsible for detecting and preventing internal frauds;Implementing elements of quantitative methods in security management;Overseeing Internal Fraud policy administration and the implementation of procedures to safeguard against internal losses;Demonstrating strategic results, from vision through planning & execution, within the data sciences disciplineProcess standarization & optimalization attempts
  • Santander Consumer Bank Sa
    Team Manager/Supervisor
    Santander Consumer Bank Sa Jan 2018 - Oct 2018
    Wroclaw, Lower Silesian District, Poland
    - managing a group of portfolio analysts, defining goals and realization follow-up- risk portfolio monitoring of consumer finance products - strategy and acceptance policy review- credit risk level forecasting- cooperation with business to develop new solutions and products for consumer finance industry-
  • Grupa Efl (Europejski Fundusz Leasingowy Sa)
    Head Of Risk
    Grupa Efl (Europejski Fundusz Leasingowy Sa) Jun 2015 - Dec 2017
    Wrocław, Woj. Dolnośląskie, Polska
    - structure and lead team to deliver internal client - risk budgeting and portfolio tracking along advanced credit metrics- defining exante credit risk policies and risk tollerance for existing and newly implemented solutions- IFRS9 parameters development and implementation- operational risk management and defininh permanent control in sensitive areas (accounting, operations, finance) - score models development and adaptation through Deputy - develop thought leadership… Show more - structure and lead team to deliver internal client - risk budgeting and portfolio tracking along advanced credit metrics- defining exante credit risk policies and risk tollerance for existing and newly implemented solutions- IFRS9 parameters development and implementation- operational risk management and defininh permanent control in sensitive areas (accounting, operations, finance) - score models development and adaptation through Deputy - develop thought leadership and oversee around risk strategies including the monitoring of the efficiency implemented policies Show less
  • Efl Sa
    Deputy Director In Risk Management And Policy Dept
    Efl Sa Mar 2011 - Jun 2015
    Wrocław Area, Poland
    - structure and lead team to deliver internal client work - partner with the department's director in essential internal leadership activities including administration, and planning - empowered by the Department Director to manage the process of developing new approaches, markets and products (risk perspective) - freeing up the department's director to focus on defining ex-ante risk tolerance policy - develop thought leadership and oversee around risk strategies including the… Show more - structure and lead team to deliver internal client work - partner with the department's director in essential internal leadership activities including administration, and planning - empowered by the Department Director to manage the process of developing new approaches, markets and products (risk perspective) - freeing up the department's director to focus on defining ex-ante risk tolerance policy - develop thought leadership and oversee around risk strategies including the monitoring of the efficiency implemented policies Show less
  • Grupa Efl (Europejski Fundusz Leasingowy Sa)
    Senior Expert Of Credit Risk
    Grupa Efl (Europejski Fundusz Leasingowy Sa) Mar 2009 - Mar 2011
    Risk Management And Policy Dept.
    elaboration risk strategies for further company's development defining ex-ante risk tolerance policy,tracking SME portfolio along key credit metricspreparing overall the pitfalls of the classical likelihood/impact matrix monitoring and elaborating key risk measures implementing restructuring procedures within the organizationcooperation with Legal and IT-department while new solution is implementedtracking and updating the risk strategiespreparing and… Show more elaboration risk strategies for further company's development defining ex-ante risk tolerance policy,tracking SME portfolio along key credit metricspreparing overall the pitfalls of the classical likelihood/impact matrix monitoring and elaborating key risk measures implementing restructuring procedures within the organizationcooperation with Legal and IT-department while new solution is implementedtracking and updating the risk strategiespreparing and implementing IT-tools for score the corporate client and to evaluate the credit capacityMarch 2009 - today Show less
  • Efl Sa
    Corporate Credit Analyst
    Efl Sa Jun 2007 - May 2009
    - gathering and analyzing credit information on current and potential borrowers in the leasing institution- approving or disapproving extension of leasing exposure within granted competencies- preparing applications and presenting the transactions in front of The Board- preparing IT-solutions for credit capacity evaluation- sectorial assessment for further company’s strategy elaboration
  • Credit Agricole Bank Polska S.A.
    Senior Credit Risk Analyst
    Credit Agricole Bank Polska S.A. Apr 2009 - Dec 2013
    - Preparing risk strategies for SME and Agro sector - Preparing risk policies for development of credit products - Managing projects related to risk management - Implementing IT-tools for risk evaluation
  • Domdata Ag Sp. Z O. O.
    Business Analyst, Project Manager
    Domdata Ag Sp. Z O. O. Oct 2005 - Jun 2007
    - co-ordinating of an Business Intelligence (BI)-systems implementation- preparing controlling models for cost calculations for corporate customers;- elaborating forecasting models for budgeting and financial planning;- constructing multi-dimensional models for further financial and controlling analyses as well as risk management using statistical and econometrical methods;- analysing data in the database using advanced Excel functions (incl. VBA programming) and SQL queries;
  • Bank Bph
    Relationship Manager, Corporate Field
    Bank Bph Dec 2004 - Oct 2005
    - consulting the clients on innovate financial services and credit products;- developing relationships to new clients by analysing their requests and delivering successful solutions tailored to their financial situation;- active sale of FX products to corporate customers;- financial analyses and preparation of credit aplications according to which final decisions of granting financing were taken.

Marcin Lehmann Skills

Risk Management Credit Risk Risk Analysis Financial Analysis Credit Scoring Corporate Finance Credit Risk Assessment Credit Analysis Financial Modeling Enterprise Risk Management Financial Risk Product Management Risk Mitigation Spanish Analysis Team Management Credit Assessment Latin America Budgets Sql Vba Microsoft Excel Finansowanie Ilościowe

Marcin Lehmann Education Details

  • The Poznan University Of Economics
    The Poznan University Of Economics
    Msc
  • The University Of Adam Mickiewicz In Poznan
    The University Of Adam Mickiewicz In Poznan
    Msc
  • Warsaw Bank Institute
    Warsaw Bank Institute
    Postgraduate Studies
  • Jyvaskylan Ammatikorkeakoulu - International Business Studies
    Jyvaskylan Ammatikorkeakoulu - International Business Studies
    International Business

Frequently Asked Questions about Marcin Lehmann

What company does Marcin Lehmann work for?

Marcin Lehmann works for Krajowy Rejestr Długów Biuro Informacji Gospodarczej Sa

What is Marcin Lehmann's role at the current company?

Marcin Lehmann's current role is Risk and Analyst Manager.

What is Marcin Lehmann's email address?

Marcin Lehmann's email address is ml****@****eria.pl

What schools did Marcin Lehmann attend?

Marcin Lehmann attended The Poznan University Of Economics, The University Of Adam Mickiewicz In Poznan, Warsaw Bank Institute, Jyvaskylan Ammatikorkeakoulu - International Business Studies.

What are some of Marcin Lehmann's interests?

Marcin Lehmann has interest in Xxth Century History Of Europe, Latin America Culture.

What skills is Marcin Lehmann known for?

Marcin Lehmann has skills like Risk Management, Credit Risk, Risk Analysis, Financial Analysis, Credit Scoring, Corporate Finance, Credit, Risk Assessment, Credit Analysis, Financial Modeling, Enterprise Risk Management, Financial Risk.

Who are Marcin Lehmann's colleagues?

Marcin Lehmann's colleagues are Karolina Pawelec, Maciej Łataś, Anna Kordylas, Aleksandra Matyla, Michał Jezierski, Katarzyna Chmiel, Klaudia Zwierzchowska.

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