Jakub Piotrowski, FRM, is an accomplished financial risk management professional with extensive experience in various roles across notable institutions. Currently serving as Market Risk Manager Methodology at Rabobank since June 2021, Jakub previously held the position of Financial Risk Management Officer at FMO and worked as a Financial Risk Management Consultant at Zanders, where responsibilities included the validation of IRRBB models and support for EBA Stress Tests for major banks. Jakub also has a solid foundation in service delivery as a Service Delivery Support Analyst at BNY Mellon and analytical experience from a role as an Equity Derivatives Structuring Analyst at UBS. Jakub holds a Master of Applied Science in Mathematics, Financial Mathematics, and a Bachelor of Applied Science in Mathematics, both from AGH University of Krakow.