Financial Risk Manager

  • 38382
  • Life - Actuarial
  • |
  • Netherlands
  • |
  • Oct 19, 2020
  • |
  • Dutch
  • Identifying financial risks that are emerging on our balance sheets.
  • Defining the risk strategy, risk limits, and risk appetite for all company entities
  • Monitoring compliance with all financial risk policies, and advising policy update working groups.
  • Assessing model changes, mainly related to SII and IFRS reporting.
  • Reviewing investments plan and hedging strategies.
  • Monitoring the performance of the hedging programs.
  • Reporting periodically on the financial risk profile.
  • Completed Master’s degree in econometrics, physics mathematics or actuarial.
  • Approximately 3-5 years of relevant work experience.
  • Knowledge of and experience with credit or market risks and in particular Solvency II.
  • Affinity with financial and insurance processes.
  • Excellent knowledge of the English language in speech and writing.
  • Persistent, convincing, decisive, initiative-oriented, solution-oriented and organization-conscious.
  • Connecting and focused on cooperation.
  • Works in a structured way, is able to structure and to keep an overview of a complex domain and a large range of tasks.
  • Able to analyze complex problems.