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 using both Internal and Standard modelsCalibration of models for Solvency II and internal steering purposesInvestment and Asset-Liability Management (ALM) risk oversightSupport for risk-based investment decisions and business steeringDesign and execution of regulatory stress testsCollaboration and support across teams, business units and actuarial functionsContribution to internal and external risk reporting (e.g. ORSA,RSR,SFCR)Key Requirements / Skills / ExperienceMaster’s degree in quantitative finance, statistics, mathematics, actuarial science, or a related discipline3 - 4 years of experience in insurance or related fields, with a focus on risk management, actuarial topics, or investments is highly desirableGood understanding of Solvency II framework would be a plusFamiliarity with programming languages such as Python, SQL, or VBAExcellent knowledge of Office 365Ability to work independently as well as engage and interact with different stakeholdersFluency in Italian and English, written and spokenAllianz Group is one of the most trusted insurance and asset management companies in the world. Caring for our employees, their ambitions, dreams and challenges, is what makes us a unique employer. Together we can build an environment where everyone feels empowered and has the confidence to explore, to grow and to shape a better future for our customers and the world around us.At Allianz, we stand for unity : we believe that a united world is a more prosperous world, and we are dedicated to consistently advocating for equal opportunities for all. And the foundation for this is our inclusive workplace, where people and performance both matter, and nurtures a culture grounded in integrity, fairness, inclusion and trust.We therefore welcome applications regardless of ethnicity or cultural background, age, gender, nationality, religion, social class, disability or sexual orientation, or any other characteristics protected under applicable local laws and regulations.Join us. Let's care for tomorrow.Both genders may apply in accordance with the L. 903 / 77 (s.m.i).#J-18808-Ljbffr


  • 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...

  • 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...

  • 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...


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    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....