Summary
Krzysztof Ratajczyk is an investment controlling manager with nine years of experience translating quantitative risk and accounting frameworks into practical reporting and planning tools for a major insurance group. He combines a strong quantitative background in computer science and econometrics with hands-on expertise in IFRS 9, IAS 39 and Solvency II model development, having led cross-border implementations and dialogues with regulators. Krzysztof has repeatedly served as the link between technical modelers and business stakeholders, delivering portfolio forecasts, yield analyses and variance-driven commentary that inform strategic investment and liquidity decisions. He is experienced in designing and rolling out group-wide reporting solutions and is comfortable coordinating multi-entity integration of international GAAPs. A detail-oriented analyst who thrives in international teams, he brings both technical rigor and practical judgment to complex finance and risk problems.
8 years of coding experience
Master's degree, Computer Science and Econometrics, Master's degree, Computer Science and Econometrics at Uniwersytet Gdański
Bachelor's degree, Computer Science and Econometrics, Bachelor's degree, Computer Science and Econometrics at Politechnika Gdańska
Polish, English, German