Capital & Liquidity Strategy Analyst

Allianz Commercial

Lazio

In loco

EUR 36.000 - 48.000

Tempo pieno

6 giorni fa
Candidati tra i primi

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Descrizione del lavoro

Allianz Commercial in Italy seeks a finance professional to support strategic capital and liquidity planning, interfacing with multiple business functions to optimise resilience and capital deployment. You will run quantitative analyses to aid CFO/CRO decisions and contribute to regular reporting for management and regulators.

The role requires a Master’s in a quantitative field, 3–5 years in insurance, strong Excel/Python/Power BI skills, and fluency in Italian and English.

Competenze

  • Master's degree in Economics, Physics, Mathematics, or a related quantitative field.
  • 3-5 years of professional experience in the insurance sector, preferably within Corporate Finance, Actuarial, Risk Management and/or Planning & Controlling functions.
  • Solid knowledge of the insurance business and relevant accounting standards (IFRS 9/17, Local GAAP) and Solvency II framework.
  • Strong analytical and quantitative mindset with entrepreneurial attitude and learning agility.
  • Outstanding communication and presentation skills.
  • Fluent in Italian and English (written and spoken).

Mansioni

  • Support the design and coordination of strategic capital and liquidity planning for Allianz Italy Group companies.
  • Perform monitoring activities and run quantitative analyses to support CFO, CRO and business functions.
  • Execute regular Capital KPIs forecasts and cash-flow projections with relevant departments.
  • Support preparation of monthly and quarterly reporting packages addressed to top management and regulators.
  • Monitor regulatory changes related to capital and liquidity management and help implement initiatives and tools.

Conoscenze

Italian fluency
English fluency

Formazione

Master's degree in quantitative field

Strumenti

Excel
Python
Power BI
PowerPoint

Descrizione del lavoro

Allianz Commercial in Italy seeks a finance professional to support strategic capital and liquidity planning, interfacing with multiple business functions to optimise resilience and capital deployment. You will run quantitative analyses to aid CFO/CRO decisions and contribute to regular reporting for management and regulators.

The role requires a Master’s in a quantitative field, 3–5 years in insurance, strong Excel/Python/Power BI skills, and fluency in Italian and English.

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