Nasıl hesaplanır?
Bu iş sana uygun olmayabilir

Seçili özgeçmişindeki bilgilerle bu ilanın kriterlerleri sadece %30 uyumlu.

Uygunluğunu nasıl hesapladık?
Son iş deneyimin, geçmiş deneyimlerin ve toplam deneyimin uygunluk puanını etkileyen kriterler arasındadır.
Bu iş sana uygun olmayabilir

Seçili özgeçmişindeki bilgilerle bu ilanın kriterlerleri sadece %30 uyumlu.

Uygunluğunu nasıl hesapladık?
Mesleki Yeterlilikler
Şirketlerin ilanda belirlediği kriterlerle özgeçmişindeki bilgilerin ne kadar uyumlu olduğu içerik karşılaştırılmasıyla bulunur.
Bu iş sana uygun olmayabilir

Seçili özgeçmişindeki bilgilerle bu ilanın kriterlerleri sadece %30 uyumlu.

Uygunluğunu nasıl hesapladık?
Diğer Bilgiler

QUALIFICATIONS AND JOB DESCRIPTION

Qualifications

·       Bachelor's degree (Post graduate degree will be an asset) in Engineering, Business, Economics, Econometrics,Finance and any other relevant field

·       Minimum 4 years experience in a Risk Management (Especially in Financial Risk Management side), Finance, Actuarial, Internal Control, Audit departments of insurance companies or same positions in Big Four Audit/Consultancy Firms

·       Fluent in English (both written and spoken- Position requires active English skills)

·       Good command on MS Office (Excel, Access)

·       Eagerness to learn and inclined to teamwork.

·       Competent in analysing complex quantitative and qualitative information.

·       Deadline, delivery and performance oriented

·       High level of communication skills, dedication and responsibility

·       No military obligaton for male candidates


Job Description

·       Reporting to Risk Management and Financial Control Department Manager (CRO) and to Assistant General Manager

·       Preparation of Local policies and procedures in line with Group Risk Standards and requirement

Actively participating in ALM activities of the company

·       Defining, monitoring and reporting risks such as Financial (Market, interest rate and liquidity risks etc.) and Operational risks (Regulatory, process and business risks etc.) according to Group Risk requirements

·       Monitoring, reviewing and stress testing local solvency requirement as well as assisting with projection of local solvency and dividend

·       Preparing and analyzing sensitivity scenarios’ impacts (especially for Financial risks; interest rate, FX volatility) for local solvency (equity) & IFRS P&L, presenting the reports to the top management

·       Preparation of needed reports and presentation for Company Management regarding all the topics above

·       Design and advice activities and control points for main Operational processes, measuring their effectiveness and tracking performance

·       Closely follow-up group standards and local regulations

·       Working with various departments like Actuarial, Investment, Planning, Finance, Operations andRegional Riskin Budapest/Hungary

PREFERRED CANDIDATE

POSITION INFORMATION

Firma Sektörü:

Hayat ve Emeklilik

Çalışma Şekli:

Hafta içi 00.00 - 00.00

Çalışan Sayısı:

650-749