David Marczis serves as a Principal Risk Management Expert at Magyar Nemzeti Bank, focusing on monetary policy instruments and foreign exchange reserves since July 2022. Prior to this, David held multiple roles at Sberbank Hungary, including Head of Market & Operational Risk Management and Head of Market Risk Management, where responsibilities encompassed managing risk frameworks, compliance, and committee participation. David's earlier experience includes positions at Morgan Stanley as a Counterparty Credit Risk Analyst and ING Bank as a Market Risk Analyst, as well as various trainee roles in financial institutions between 2004 and 2008. David Marczis holds degrees in Financial Investment Analysis and Risk Management from Corvinus University of Budapest, and has completed exchange programs at EBS Universität für Wirtschaft und Recht and the University of Hull.
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