Senior Risk Leader: Liquidity & Derivatives

The Emerald Group Ltd, Search and Selection

Zürich

Vor Ort

CHF 130.000 - 170.000

Vollzeit

Vor 5 Tagen
Sei unter den ersten Bewerbenden
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Zusammenfassung

The Emerald Group Ltd, Search and Selection is seeking a senior risk professional in Switzerland (Zurich) to own the SST balance sheet methodology and lead the Financial Condition Report in collaboration with Accounting, Controlling & Reporting teams.

You will also drive derivative risk management, implement the liquidity risk framework with relevant stakeholders, and address non-financial risk topics including Third Party Risk Management.

Qualifikationen

  • University degree in mathematics/science or related quantitative subject.
  • 7+ years’ experience in risk management in the (re)insurance or audit/consulting space.
  • Ideally: tertiary qualification e.g. CERA, qualified actuary, CFA.
  • Fluent in English.

Aufgaben

  • In the SST calculations, generate the SST balance sheet and own its methodology.
  • Own the Financial Condition Report creation, working closely with the Accounting, Controlling & Reporting, and business teams.
  • Operate and continuously enhance derivative risk management and reporting.
  • Drive, in tandem with relevant stakeholders, the implementation of liquidity risk management framework.
  • Drive and support selected other non-financial risk topics, including Third Party Risk Management.
  • Plus any additional duties and responsibilities that may reasonably be expected to be undertaken in accordance with the role.

Kenntnisse

Capital modelling
Risk management
Derivative risk management
English fluency

Ausbildung

University degree in mathematics/science, or related quantitative subject

Jobbeschreibung

The Emerald Group Ltd, Search and Selection is seeking a senior risk professional in Switzerland (Zurich) to own the SST balance sheet methodology and lead the Financial Condition Report in collaboration with Accounting, Controlling & Reporting teams.

You will also drive derivative risk management, implement the liquidity risk framework with relevant stakeholders, and address non-financial risk topics including Third Party Risk Management.

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