Financial Institution Rating Analyst
Requirements:
- Master’s Degree desired, BA/BS in Economics, Finance or related field required
- Relevant (at least 3 years) existing knowledge and experience in the credit/risk analysis of financial institutions (focus on insurance/ re-insurance) with very strong accounting knowledge
- Knowledge of the Insurance regulatory environment and the industry trends
- Fluency in English (written and spoken); knowledge of a second foreign language (French and/or German) will be considered a plus
- Be able to work autonomously to ultimately deliver a final product without any oversight
- Have a collaborative mind-set with strong interpersonal skills. Advanced project management and presentation skills, excellent verbal and written communication
- A clear advantage would be to have gained relevant experience within one of the main rating agencies within the Financial Institution segment
- Strong knowledge of financial products, business processes, and industry best practices and regulatory requirements for model risk management
Soft skills:
- Advanced ability to comfortably communicate at all levels of the organization
- Proficiency in performing multiple tasks and dealing with changing deadline requirements is a "must-have" skill
- Project management
- Proven effectiveness in interacting with and reporting to senior management
- Interpersonal skills and ability to work in an international team
Generali is proud to be an inclusive employer that considers applicants regardless of gender, gender identity, sexual orientation, ethnicity, disability, religion, political views, marital status or philosophy of life.
If you have a disability or special need that requires accommodation or assistance, we will support you during the selection process.