Senior Market Risk Analyst | Insurance

An international insurance firm based in Brussels, Belgium is currently searching for an experienced financial risk professional to join their team.

The candidate will be involved in:

- Being part of the Market risk team responsible for managing financial risk for the entire group.
- Calibrating and running "back testing" of risk models for the group.
- Modelling financial risks and ALM.
- Support design methodologies in line with Solvency II.

The ideal candidate will bring:

- Degree educated (preferably with a masters degree) in Mathematics, Physics or Actuarial topics.
- FRM qualification is of high interest
- A minimum of 4- 8 years of experience in the risk management space
- Sound understanding and knowledge of risk management and the insurance market.
- Modelling skills.
- International experience is of interest
- Excellent communication skills in English and French or Dutch.

January 15, 2013 • Posted in: General

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