水平: Associate

工作类型: Full-time

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工作内容

We are looking for a Financial Risk expert with knowledge of investments risks and derivatives, if possible in the Life Insurance sector.

This position is permanent, based 2 days/week in Brussels (rest homeworking).

Your mission:

The Risk Management department is in charge of:

  • Define appropriate risk management framework, policies and governance
  • Set-up an integrated risk management system & monitor the evolution of the risk profile
  • Assess financial risks and provide opinions to investments operations
  • Monitor financial/non-financial risks and provide recommendations regarding mitigating actions
  • Manage risk activities in the context of Solvency II (ORSA, Regulatoru reporting, etc)
  • Act as a business partner and not only a control functions
  • Own the Internal Control Framework and independently assess design/effectiveness of controls

Your responsibilities:

  • Lead the financial risk practice with a clear focus on the investment risks;
  • Be the Subject Matter Expert on Derivatives and Hedging strategies;
  • Provide risk opinions on new investments as part of the New Investments Approval Process;
  • Be responsible for the Market Risk calculation under Solvency II Regulation;
  • Monitor and report risk profile on Financial Risks (with a focus on investment risks and derivatives)
  • Produce Risk dashboard information related to Financial risks
  • Contribute to define, and ensure proper monitoring of risk and profitability indicators, and related risk appetite limits related allocated scope
  • Contribute to spread risk best practices throughout the company being an ambassador of the risk culture
  • Coordinate risk policies, guidelines and procedures implementation for Financial risks
  • Coordinate cascading down the risk appetite framework in operational limits for Financial risks
  • Support risk owners in addressing issues related to Financial risks
  • Contribute to the ORSA process and report write-up

Your profile:

  • You are a Chartered Financial Analyst holder or demonstrate evolution towards it (or equivalent)
  • You have an appetite for Financial Risk and Risk Management
  • You have a first successful experience as a manager preferably in an insurance company
  • You have a minimum of 5-7 years of experience in a similar position
  • You have strong quantitative skills
  • You show rigor and practical intelligence
  • You are proactive and work on time
  • You adapt easily to changes and have a team spirit
  • You are fluent in French and / or Dutch. As part of your international contacts, you understand English and are able to write reports and emails in English.

What we offer :

  • A permanent position in a company on a human scale in which you can quickly have an impact
  • Senior management accessible and close to its employees
  • Your personal development promoted by our training and talent management policy
  • Opportunities for development and internal mobility within the Group
  • An attractive salary package accompanied by various extra-legal benefits (meal vouchers, group insurance, hospitalization insurance, etc.)
  • At least 35 days off per year
  • A harmonious balance between professional and private lives thanks to teleworking (up to 3 days a week)
  • Brand new offices promoting collaboration
  • A central location accessible by train and public transport
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最后期限: 10-01-2026

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