Marcin Kurnal is an experienced finance professional with a strong background in market risk management and investment management. Currently serving as a Market Risk Manager at ING since July 2020, Marcin oversees the Flow and Structured Credit desks. Previously, Marcin took a sabbatical to travel in South America from August 2019 to February 2020 and worked as an Investment Manager in the Legal and General Retirement division, managing assets of approximately £75 billion from 2018 to 2019. Earlier roles include Vice President of XVA Trading & Pricing at ING, focusing on counterparty and funding risk for fixed income derivatives from 2015 to 2017, and Fixed Income Trader at NatWest Markets Plc, managing a multi-currency book from 2010 to 2014. Marcin holds a Career Accelerator certification in Data Analytics from The London School of Economics and a Bachelor of Science degree in Mathematical Economics and Statistics from the University of Birmingham.
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