Market & Credit Risk Analyst — Shape Investment Risk

3 settimane fa


Milano, Italia Allianz Italia A tempo pieno

A leading insurance company based in Italy is seeking a Market and Credit Risk Analyst to manage investments and financial risk topics. The ideal candidate will hold a Master's degree in a quantitative discipline and possess 3-4 years of relevant experience. Responsibilities include calculating Risk Capital results, calibrating models for Solvency II, and supporting investment decisions. Applicants must be fluent in Italian and English and should be equipped with programming skills such as Python or SQL. Join a dynamic environment committed to empowering employees.#J-18808-Ljbffr



  • Milano, Italia Allianz Italia A tempo pieno

    A leading insurance company based in Italy is seeking a Market and Credit Risk Analyst to manage investments and financial risk topics.The ideal candidate will hold a Master's degree in a quantitative discipline and possess 3-4 years of relevant experience.Responsibilities include calculating Risk Capital results, calibrating models for Solvency II, and...

  • MARKET AND CREDIT RISK

    3 settimane fa


    Milano, Italia Allianz Spa A tempo pieno

    MARKET AND CREDIT RISK - RISK ANALYST Job Purpose & Role The Risk Management department of Allianz Italia is looking for a Market and Credit Risk Analyst to deal with investments / financial risk topics. Key Responsibilities The Market and Credit Risk Management team is responsible for the following activities : Calculation and analysis of Risk Capital...


  • Milano, Italia Allianz Spa A tempo pieno

    A leading insurance firm located in Milan is seeking a Market and Credit Risk Analyst. The successful candidate will be responsible for risk capital analysis, investment oversight, and regulatory reporting. A Master’s degree in quantitative finance or a related field, along with 3-4 years of experience in insurance or risk management, is preferred....


  • milano, Italia Allianz Spa A tempo pieno

    A leading insurance firm located in Milan is seeking a Market and Credit Risk Analyst. The successful candidate will be responsible for risk capital analysis, investment oversight, and regulatory reporting. A Master’s degree in quantitative finance or a related field, along with 3-4 years of experience in insurance or risk management, is preferred....

  • MARKET AND CREDIT RISK

    3 settimane fa


    Milano, Italia Allianz Italia A tempo pieno

    MARKET AND CREDIT RISK - RISK ANALYST Allianz Italia’s Risk Management department is seeking a Market and Credit Risk Analyst to deal with investments/financial risk topics. Key Responsibilities Calculation and analysis of Risk Capital results using both Internal and Standard models Calibration of models for Solvency II and internal steering purposes...

  • MARKET AND CREDIT RISK

    2 settimane fa


    milano, Italia Allianz Spa A tempo pieno

    MARKET AND CREDIT RISK - RISK ANALYSTJob Purpose & RoleThe Risk Management department of Allianz Italia is looking for a Market and Credit Risk Analyst to deal with investments / financial risk topics.Key ResponsibilitiesThe Market and Credit Risk Management team is responsible for the following activities :Calculation and analysis of Risk Capital results...

  • MARKET AND CREDIT RISK

    2 settimane fa


    milano, Italia Allianz Italia A tempo pieno

    MARKET AND CREDIT RISK - RISK ANALYSTAllianz Italia’s Risk Management department is seeking a Market and Credit Risk Analyst to deal with investments/financial risk topics.Key ResponsibilitiesCalculation and analysis of Risk Capital results using both Internal and Standard modelsCalibration of models for Solvency II and internal steering...


  • Milano, Italia Allianz Italia A tempo pieno

    MARKET AND CREDIT RISK - RISK ANALYSTAllianz Italia's Risk Management department is seeking a Market and Credit Risk Analyst to deal with investments/financial risk topics.Key ResponsibilitiesCalculation and analysis of Risk Capital results using both Internal and Standard modelsCalibration of models for Solvency II and internal steering purposesInvestment...

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    milano, Italia Risk Management A tempo pieno

    Banca Ifis Spa è una challenger bank a sostegno dell’economia reale. Nata come operatore specializzato nel factoring, cogliendo nuove opportunità di mercato nell’investment e specialty finance, è arrivata ad occupare una posizione unica nel panorama bancario italiano.Stiamo cercando una figura di Operational Risk Analyst per la funzione Operational &...

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    4 settimane fa


    Milano, Italia Risk Management A tempo pieno

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