Financial Risk Specialist for the Risk Management team at Trygg-

Experis Finance / Företagsekonomjobb / Stockholm
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Trygg-Hansa is one of the largest insurance companies with an annual premium volume of over ten billion SEK and approximately 2,000 employees in 30 locations in Sweden. Trygg-Hansa offers a range of insurance policies for individuals and businesses, such as car insurance, vehicle insurance, home insurance, pregnancy insurance, sickness and accident insurance. Our personal insurance line includes insurance for children where we are market leaders. We offer tailored insurance solutions for small businesses. Trygg-Hansa is a wholly owned subsidiary of the Danish company Codan and part of the international insurance Group RSA. For more information about Trygg-Hansa and our insurance: www.trygghansa. Connect with us on LinkedIn and Facebook: www.facebook.com/trygghansa

Description:
The Risk Management team's main focus will be to drive the implementation of the Trygg-Hansa Group Risk Management Framework and all first line activities which support effective and coherent Enterprise Risk Management, providing risk information to the Executive and Boards of Directors that we are at all times operating within the Risk Appetite and Governance Frameworks prescribed by the Trygg-Hansa Group and Entity Boards of Directors and all risks are managed appropriately.

The team consists of an operational risk specialist, a financial risk specialist, a risk coordinator and 2 risk analysts in addition to the team manager. The focus of the team's activities is to manage risks working closely with relevant business units, rather than provide assurance, which an internal control unit will provide.

Responsibilities:
You will be reporting to the Risk Management Leader and ensure that financial risks are identified, assessed, monitored and reported. Your primary responsibility will be to continuously analyze the Company's market, credit and liquidity risks, but in addition to this you will also be supporting quantitative analyses more broadly in the Risk Management team e.g. in areas such as internal model validation and operational risk assessments. You will work closely with the Investment department, the capital modeling team, the capital management team and reserving actuaries. The ideal candidate will have a background within the financial risk management field but this position offers an opportunity to broaden out your competencies to other quantitative areas in the insurance industry.

Key Result Areas:
You will contribute to the ongoing development of the financial risk management area in RSA. The Financial Risk Specialist will work closely with the Finance teams in order to facilitate the development and monitoring of appropriate risk metrics.

You will prepare specific and general risk reports / analysis for the Risk Management Forum, Investment Committee, Board meetings and other relevant stakeholders. Examples of responsibilities include:

• Quantification of financial risks across assets and liabilities such as inflation risk, interest rate risk and currency risk
• Quantification of other relevant market, credit and liquidity risks
• Ongoing development of the risk reporting produced by Risk Management in the financial area including various exposures measures, stress and scenario analyses, etc.
• Represent Risk Management in the various committees relevant for the financial risk area
• Owning a number of deliverables related to the financial risk area within the solvency II programme
• Supporting the risk management team more generally in the quantitative area

You will also drive and enable effective linkage between RSA's Scandinavian entities and the RSA Group organisation.

Your profile:
The ideal candidate has a Master's degree in finance, economics or other quantitatively oriented field and preferably at least 5 years experience within the quantitative financial area. Previous senior level roles in either financial risk management or operational areas (e.g. FP&A, Actuarial) are an asset, but not a requirement.

You have solid knowledge and experience of working with Risk Management tools and systems as well as having experience of working in financial risk management.
Familiarity with the governance requirements for the Swedish, Danish, United Kingdom and Norwegian regimes is an asset, and so is knowledge regarding Solvency II and Capital Modelling.

As a person, you enjoy working with both strategic and day-to-day financial risk tasks, while applying your extensive finance risk skills to make great analysis and reporting. Finally, you thrive in an extrovert role with contact to different stakeholders at all levels of the business, and you feel motivated by pursuing new possibilities and by being able to "make a difference".

RSA operates in an international environment, and most documentation is done in English. This requires written and spoken English skills.

Travel days is to be expected.

Application
To apply to this position visit:
http://www.rsaapply.com/?355497

Contact:
Experis is recruiting on behalf of RSA in this process. If you have any questions regarding the position, please contact Recruitment consultant Tomas Ehrngren + 46 8 764 26 48. Please submit your application and enclose your CV and personal letter as soon as possible - we select applications continuously.

Union Contacts:
Thomas Rosén (FTF) +46 701 68 2374 and Lena Darin (SACO) +46 701 68 28 44

Publiceringsdatum
2013-04-03

Arbetstider och omfattning
Enligt överenskommelse

Ersättning
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Så ansöker du
Sista dag att ansöka är 2013-04-30
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Kontakt
Maria Stenbäck

Företag
Experis Finance

Adress
Experis Finance
BOX 1125
11181 Stockholm

Jobbnummer
1511193

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