Our Leadership Team
The MAKROAUDIT team is composed of specialists who bring direct, hands-on experience from banking, structured finance, and financial regulation. We operate as a closely integrated unit, drawing on each other's expertise to deliver coherent advice rather than siloed opinions. Every senior advisor at MAKROAUDIT maintains active involvement in client engagements — our clients do not deal with juniors who relay messages upward.
Martin Elbrecht
Managing Director & Head of Corporate Finance
Martin has over eighteen years of experience structuring corporate credit facilities and managing client relationships across commercial banking and advisory environments. He founded MAKROAUDIT with the goal of delivering institutional-quality financial analysis to mid-market businesses. He holds a Master's degree in Finance from a Central European university and is a certified financial analyst.
Petra Vondráčková
Director of Financial Intermediation
Petra leads the firm's intermediation practice, overseeing broker relationships with banks, alternative lenders, and insurance providers across the region. She previously spent a decade in structured lending at a regional commercial bank, where she managed a portfolio of corporate clients across manufacturing and logistics. Her expertise lies in negotiating complex multi-party financing arrangements to tight timelines.
Jakub Šimánek
Head of Regulatory & Compliance Advisory
Jakub specialises in AML compliance frameworks, regulatory reporting obligations, and financial conduct requirements for companies operating in regulated sectors. Before joining MAKROAUDIT he served as a compliance officer at a licensed payment institution and subsequently as an external auditor for financial services firms. He advises clients on practical implementation rather than theoretical policy drafting.
Renata Holubová
Senior Financial Analyst
Renata is responsible for financial modelling, cash flow analysis, and the preparation of lender-ready documentation for client mandates. She has built financial models for transactions ranging from working capital facilities to multi-tranche real estate development finance. Her work consistently reduces the time clients spend in due diligence by presenting information in formats lenders recognise and trust.
Tomáš Bureš
Head of Treasury & Cash Management
Tomáš designs and implements treasury frameworks for corporate clients managing multi-currency exposures and complex intercompany cash flows. He previously worked in the treasury department of a multinational industrial group where he introduced centralised cash pooling structures that reduced borrowing costs across the group. At MAKROAUDIT, he translates that large-company experience into practical solutions for growing businesses.