🌎
This job posting isn't available in all website languages
📁
Risk
💼
Assicurazioni Generali S.p.A.
Thanks for your interest in the Financial and Credit Risk Analyst position. Unfortunately this position has been closed but you can search our 22 open jobs by clicking here.

 

Our ideal candidate will have the following requirements:

Must have

  • Knowledge of Insurance and Financial business processes, and industry best practices and regulatory requirements for risk management, with particular focus on Solvency II regime
  • Bachelor and Master Degree in Finance, Actuarial Sciences, Economics, or Mathematics/Physics
  • Robust knowledge of statistical techniques and their application
  • Fluent in English and Italian
  • Solid and proficient use of Microsoft Office suite
  • 5-7 years of work experience in the financial /insurance industry.

Nice to have

  • Proven effectiveness in executive reporting to senior management
  • Knowledge and possible experience in modelling the interplay between assets and insurance liabilities
  • Knowledge and possible experience in Montecarlo Simulation techniques
  • Project management skills
  • Other European foreign language such as French, German, Spanish.
  • Good knowledge of one or more of the following: Matlab, Python, VBA, R
  • Proficiency in performing multiple tasks and dealing with dynamic deadline requirements
  • Performing in stressed conditions
  • Structured and self-organized
  • Proactive approach, strong achievement and result oriented
  • Have a collaborative mind-set with strong interpersonal skills
  • Good verbal and written communication skills
  • Ability to comfortably communicate at all levels of the organization
  • Capable of developing independent opinion and defending their own views upon challenge