83 days ago on jrd.ch

Reporting & Risk Manager


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Reporting & Risk Manager

   1481 Reporting & Risk Manager / Insurance   Vacancy profile Responsible for the authoring of updates to corporate reporting Coordinate and perform a diverse set of analyses in the areas of credit risk, market risk and actuarial risks Further develop and implement Solvency II and conduct SST Collaborating with a range of risk specialists, as well as providing a close link to external regulators such as FINMA Participating and contributing on issues concerning risk reporting processes, definition of data parameters as well as on analysis methods   Candidate profile MSc/PhD in quantitative economics (or similar) and several years’ relevant work experience in the finance sector Knowledge and experience in risk analysis (particularly regulatory requirements and Solvency II) and capital reporting processes Outstanding analytical skills, a high degree of independence, solid project management background Robust English and German language skills, both spoken and in writing   [ pdf ]