Financial and Credit Risk Analyst
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