Michal Mareš is a Senior Manager in the Credit Risk team at EY, having been a member of the Financial Services Risk Management team since October 2017. They hold a Master's degree in Economic Analysis and a Master's degree in International Trade, and are fluent in English. Michal's current focus is on credit risk modeling, including IRB LGD model development and IFRS 9 models. They also have experience as a website editor and an economic analyst prior to their tenure at EY.
This person is not in the org chart
This person is not in any teams
This person is not in any offices