Aleksandra Matela

Aleksandra Matela

Manager, Model Risk Management @ HSBC

About Aleksandra Matela

Aleksandra Matela is a Manager in Model Risk Management at HSBC, where she has worked since 2021 in Kraków, Poland. She has a background in financial mathematics and economics, holding a Master's degree from Jagiellonian University.

Work at HSBC

Aleksandra Matela has been employed at HSBC since 2018, holding various positions within the organization. She currently serves as the Manager of Model Risk Management, a role she has occupied since 2021 in Kraków, Woj. Małopolskie, Poland. Prior to this position, she worked as an Independent Model Review Analyst from 2020 to 2021 and as a Junior Analyst in the same department from 2019 to 2020. Her initial role at HSBC was as a Financial Services Intern in 2018, where she gained foundational experience in the financial sector.

Education and Expertise

Aleksandra Matela holds a Master's degree in Financial Mathematics from Jagiellonian University, which she completed from 2016 to 2018. She also earned a Bachelor's degree in Mathematics in Economics from the same institution, studying from 2012 to 2016. Additionally, she obtained a diploma in Enology, focusing on winemaking technology, from Uniwersytet Rolniczy im. Hugona Kołłątaja w Krakowie in 2022. This diverse educational background equips her with a strong analytical foundation relevant to her current role in model risk management.

Professional Background

Before joining HSBC, Aleksandra Matela gained experience in various roles. She worked as a Junior Analyst in Reporting Services at Lufthansa Global Business Services for three months in 2017. Additionally, she served as an Inspector in the Department of Accounting at Getin Noble Bank S.A. for six months in 2015-2016. These positions provided her with insights into financial reporting and accounting practices, contributing to her expertise in model risk management.

Career Progression

Aleksandra Matela's career at HSBC showcases a clear trajectory of growth and increasing responsibility. Starting as a Financial Services Intern in 2018, she transitioned to a Junior Analyst role in Independent Model Review within a year. Her advancement continued as she became an Analyst in the same department, and eventually, she was promoted to Manager of Model Risk Management in 2021. This progression reflects her commitment to professional development and her ability to adapt to the evolving demands of the financial sector.

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