Summary
Pawel Grzelak is an ESG-focused economist and analyst with nine years of diverse professional experience, currently working as an ESG Risk Intern at Santander Bank Polska while completing a Master’s in Specialized Economic Analysis at the Barcelona School of Economics. He blends public-sector co-op experience in Ontario finance with private-sector operational roles, giving him practical insight into data-driven risk assessment and process optimization. Pawel’s background in international finance and economics from Ryerson University informs a quantitative approach to sustainability challenges, and he brings curiosity about procedural, nature-inspired generative art—an indicator of creative problem-solving beyond spreadsheets. Comfortable moving between policy, operations, and analytical work, he is positioned to translate ESG frameworks into measurable financial and operational outcomes.
9 years of coding experience
Master's degree, Specialized Economics Analysis, Master's degree, Specialized Economics Analysis at Barcelona School of Economics
Toronto Metropolitan University
Polish, English