31 lug - Milano
Bnp Paribas
Questa posizione è in BNP Paribas Riassunto dell'possibilità da parte della Joinrs AI : BNP Paribas cerca un Risk Management Specialist con laurea in discipline economico-finanziarie o attuariali e almeno 3-4 anni di esperienza nel settore assicurativo internazionale.
Il candidato supporterà la supervisione del sistema di gestione dei rischi aziendale, con particolare attenzione ai rischi finanziari e Solvency II.
L'offerta prevede contratto a tempo pieno a termine con retribuzione in linea con il contratto nazionale assicurativo.
Il processo di selezione sarà interamente gestito da BNP Paribas.
Within BCC Vita's Risk Management team, the candidate will support the head of risk management, to which he/she will report, in the supervision and adequate implementation of the Company's risk management system, in compliance with existing regulations and group guidelines, with particular reference to financial risks and model run.
Execution of 2 LoD controls on assets side and related to Solvency II calculation.
Support the definition and monitoring of the RAF and the execution of the ORSA process.
What we expect from you Education: Degree in economics-financial or actuarial disciplines.
At least 3-4 years spent in Insurance and in international environment.
Behavioral skills: Good relational and organizational skills, goals-oriented and problem solving.
Technical skills: Well knowledge of insurance regulation, risk management topics (focus on quantitative risks), risk measurement processes; Knowledge of actuarial projection tools (ie Prophet / RAFM).
Language skills: English excellent knowledge.
Contract type and Remuneration The offer will be a full time fixed term contract and the relative remuneration will be consistent with the National Insurance Contract.
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