Michał Jezierski – Compliance & Risk Management

Michał Jezierski

Director of Compliance & Risk Management

Helping listed companies and capital groups build and supervise regulatory, compliance and risk frameworks.

Currently Director of Compliance and Risk Management at Grupa Kęty S.A., one of the largest industrial groups listed on the Warsaw Stock Exchange, and a member of the management board of the group’s Shared Services Center, responsible for corporate affairs.

Profile at a glance

  • Current role: Director of Compliance & Risk Management — Grupa Kęty S.A.
  • Expertise: corporate compliance, enterprise risk management, governance in listed companies
  • Experience: senior-level leadership in complex, regulated organisations
  • Location: Poland & EU & GCC/UAE
  • Languages: Polish (native), English (professional proficiency)

Areas of expertise

Corporate & Regulatory Compliance

Designing, implementing and supervising compliance frameworks at group level: policies, procedures, training, investigations, monitoring and reporting. Ensuring that compliance supports the business instead of acting as a barrier.

Risk Management in Capital Groups

Building and maintaining enterprise risk management systems for diverse, multi-entity organisations. Integrating risk assessments with strategic planning and board-level decision making.

Governance in Listed Companies

Working within the framework of a publicly listed organisation: disclosure obligations, good practice codes, relations with supervisory boards and audit committees, and alignment with internal audit and finance functions.

New Technologies & Emerging Risks

Understanding how technologies — including data-driven tools and AI — reshape regulatory and operational risks. Focusing on practical governance, clear accountability and realistic controls.

Current role

I currently serve as Director of Compliance and Risk Management at Grupa Kęty S.A., a major industrial group listed on the Warsaw Stock Exchange.

My responsibilities include:

  • designing and supervising compliance and risk processes across the capital group,
  • advising the management board on key compliance and risk matters,
  • preparing analyses and information for the supervisory board and its committees,
  • coordinating with internal audit and other control functions,
  • ensuring alignment between compliance, governance and strategic goals.

My role combines regulatory depth with pragmatic business understanding — helping the organisation operate confidently in a demanding market and regulatory environment.

Contact

The easiest way to reach me is via LinkedIn or email.

All views expressed on this website are my own and do not represent the official position of Grupa Kęty S.A. or any other organisation.