Marek is a research economist in the Macro Financial Analysis Division at the Bank of England. Prior to that Marek worked for Goldman Sachs, the Bank for International Settlements and the National Bank of Poland.
Marek holds a PhD in economics from the European University Institute, he also studied at University of Warwick and University of Lodz.
Marek is a financial econometrician and a hobby macroeconomist, his research interests focus around applied econometrics, international finance and macro-finance. In Marek's most recent research he focussed on the issues of tail risks and financial contagion, international yield spillovers and the impact of monetary policy on asset prices.