Bartosz Górecki
About Bartosz Górecki
Bartosz Górecki is an Associate Director and Risk Modelling & Analytics Specialist at UBS, with a strong background in investment risk analysis and mathematical problem-solving. He has held various positions in notable financial institutions and achieved a Master's degree in financial and insurance mathematics from AGH University of Science and Technology.
Work at UBS
Bartosz Górecki has been serving as an Associate Director - Risk Modelling & Analytics Specialist at UBS since 2020. His role involves overseeing risk modelling and analytics, contributing to the firm's risk management strategies. He operates from the Kraków office in Woj. Małopolskie, Poland, where he applies his expertise in risk assessment and analytics to enhance the firm's operational efficiency.
Previous Experience at State Street
Prior to his current position, Górecki held several roles at State Street. He worked as a Senior Investment Risk Analyst from 2016 to 2018 and as an Investment Risk Analyst from 2015 to 2016. Additionally, he completed internships at State Street in 2015 and 2013. His tenure at State Street provided him with extensive experience in investment risk analysis and business analysis.
Education and Expertise
Bartosz Górecki completed his Bachelor's degree in Applied Mathematics at AGH University of Science and Technology from 2011 to 2014. He furthered his education by obtaining a Master's degree in Financial Mathematics and Actuarial Mathematics from the same institution between 2014 and 2016. His academic background supports his specialization in risk modelling and analytics.
Achievements in Mathematical Challenges
Górecki has demonstrated significant proficiency in mathematical and algorithmic challenges, achieving a top 8 ranking in Poland on projecteuler.net. This platform is recognized for its complex mathematical problems, highlighting his skills in problem-solving and competitive programming.
Background and Early Education
Górecki attended IX LO in Częstochowa from 2008 to 2011, where he completed his secondary education. His early education laid the foundation for his later studies in mathematics and finance, shaping his career in risk analysis and modelling.