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ALM & Capital Management Officer
Eingestellt von Eurostaff Group Limited
Gesuchte Skills: Engineering, Support
Projektbeschreibung
PROFILE DESCRIPTION:
CONTEXT
The ALM & Capital Management team is responsible for the management of the risks Embedded in the insurance activities, in particular the market risks (including interest rate-, liquidity-, spread-, equity- and real estate-risks). The team takes care of the modelling of these risks and ensures the company is managed within the risk appetite
RESPONSIBILITIES
- Perform regular reporting tasks (monthly and quarterly), including:
- Update of local databases (MS Access) containing the assets in portfolios as well as the market evolution, performing quality checks
- Provide the necessary information on assets in portfolio to the Valuation team
- Follow up of the movements of the asset portfolio from a risk perspective
- Estimate the Solvency II ratio of the company
- Provide key information to the top management on the solvency II ratio
- Follow up of the liquidity of the company
- Follow up of the risk appetite of the company
- Provide support to the team for some specific exercises, including a.o.:
- Strategic Asset Allocation
- ORSA, in particular stress testing
KNOWLEDGE & EXPERIENCE
- Quantitative profile (actuary, economics, engineering, mathematics, physics)
- Experience with finance (financial asset and financial markets)
- Experience in insurance sector (basic knowledge of Solvency II Capital Requirement Standard Formula and of Market Value Balance Sheet)
- Knowledge of MS Office (including Excel, Access, PowerPoint, Word)
Skills:
- Analytical
- Conscientious and accurate.
- Eager to learn
- Team player
- Able to lead the project when necessary
CONTRACT
- Start Date: April 1st 2016
- Length: 5 months (extension could be possible)
- Onsite: Full time
- Location: Brussels
- Salary: Depending on experience
- Profile level: Junior & Medior - Minimum 2 years experience
If you are interested, please reply with your updated CV, rate and availability.
CONTEXT
The ALM & Capital Management team is responsible for the management of the risks Embedded in the insurance activities, in particular the market risks (including interest rate-, liquidity-, spread-, equity- and real estate-risks). The team takes care of the modelling of these risks and ensures the company is managed within the risk appetite
RESPONSIBILITIES
- Perform regular reporting tasks (monthly and quarterly), including:
- Update of local databases (MS Access) containing the assets in portfolios as well as the market evolution, performing quality checks
- Provide the necessary information on assets in portfolio to the Valuation team
- Follow up of the movements of the asset portfolio from a risk perspective
- Estimate the Solvency II ratio of the company
- Provide key information to the top management on the solvency II ratio
- Follow up of the liquidity of the company
- Follow up of the risk appetite of the company
- Provide support to the team for some specific exercises, including a.o.:
- Strategic Asset Allocation
- ORSA, in particular stress testing
KNOWLEDGE & EXPERIENCE
- Quantitative profile (actuary, economics, engineering, mathematics, physics)
- Experience with finance (financial asset and financial markets)
- Experience in insurance sector (basic knowledge of Solvency II Capital Requirement Standard Formula and of Market Value Balance Sheet)
- Knowledge of MS Office (including Excel, Access, PowerPoint, Word)
Skills:
- Analytical
- Conscientious and accurate.
- Eager to learn
- Team player
- Able to lead the project when necessary
CONTRACT
- Start Date: April 1st 2016
- Length: 5 months (extension could be possible)
- Onsite: Full time
- Location: Brussels
- Salary: Depending on experience
- Profile level: Junior & Medior - Minimum 2 years experience
If you are interested, please reply with your updated CV, rate and availability.
Projektdetails
Geforderte Qualifikationen
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Kategorie:
Ingenieurwesen/Technik, Sonstiges