Senior Financial Risk Manager - Market Risk

Over deze vacature

Within the Achmea holding, Financial Risk Management (FRM) is responsible for the second-line risk management of market risks, insurance technical risks, counterparty risks, and liquidity risks. The insurance technical risks include premium and reserve risk, disability and work incapacity risk, catastrophe risk, life risk, and healthcare risk.

FRM also develops and maintains the methodology of the partial internal model used for Solvency II calculations. The tasks of FRM have a direct impact on Achmea, are highly challenging, and require strong mathematical insight. Within the department, you can exchange ideas and there is plenty of room for personal development.

As a Senior Financial Risk Manager, you will be responsible for the development of a part of the internal model for market risk. You will be project lead for significant model changes and will also conduct reviews on strategic projects. You will initiate improvements for financial risk management and act as administrator of one or more financial risk policies. Additionally, you will mentor or coach colleagues, maintain contacts with management and regulators, share knowledge, and cultivate a network.

De afdeling

"People are different, and fortunately so. We believe that diversity helps us arrive at the best solutions. Every day, we work towards an even more diverse and inclusive environment, where everyone is given the space to be themselves. Together, we strive to create a healthy, safe, and sustainable society."

Achmea is the largest insurance group in the Netherlands. FRM is Achmea's second-line risk management department responsible for financial risks, including market risks, insurance technical risks, counterparty risks, and liquidity risks. FRM's goal is the effective management of financial risks and the optimization of the risk profile for sustainable value creation. FRM supports the optimization of risk-return trade-offs.

The FRM team emphasizes maintaining a high level of expertise. Together with the Non-Financial Risk Management team, FRM forms part of the Risk Management department as a component of the Compliance, Risk Management & Actuarial staff."

Jouw achtergrond

The ideal candidate for this position should have:

  • Minimum of 10 years of experience in the field of quantitative market risk.
  • Solvency II experience is a must
  • Completed a university degree in Actuarial Science, Econometrics, Mathematics, Physics.
  • Vision on financial risks in tools such as Matlab, Python, or R, applied in practical settings.
  • Experience in leading projects and/or managing colleagues.
  • Persuasive communication skills, capable of convincingly presenting and defending their ideas while being sensitive to the feelings and interests of their counterpart, while maintaining the strength of their message.

Vragen over deze vacature?

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Jens Tjalsma

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Wat krijg je van ons

Als medewerker bij Achmea zet jij je elke dag in voor een gezonde, veilige én duurzame toekomst. En daar belonen we je graag voor! Natuurlijk krijg je bij ons een goed salaris, een mooie pensioenregeling mét lage eigen bijdrage (3,25%), 136 verlofuren (op basis van 34 uur per week) én korting op onze verzekeringen.
Maar er is meer!

Over Achmea

Achmea staat voor Duurzaam Samen Leven. Een inclusieve samenleving waarin iedereen meedoet en plezierig en gezond met en naast elkaar leeft, is ons ideaalbeeld. Op een manier die langdurig kan voortbestaan. Goede reden om beter met onze leefomgeving om te gaan en duurzame oplossingen beter bereikbaar te maken. Voor iedereen!

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