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FRM Insurance
Governance
Amsterdam, Netherlands
120,000 EUR
7 Mar 2025
Job Description
Senior Manager Financial Risk Management (Insurance)
The Actuarial & Insurance Risk team focuses on risk management issues at insurers and in the field of pensions. These issues are both qualitative and quantitative in nature. We help insurers to manage solvency and profitability, but we also supervise portfolio transfers from one insurer to another and help them set up risk management. In addition, we help to model and quantify new risks (such as Cyber), and to deal with new requirements from those involved, for example regarding sustainability.
Your challenges
The Actuarial & Insurance Risk team focuses on risk management issues at insurers and in the field of pensions. These issues are both qualitative and quantitative in nature. We help insurers to manage solvency and profitability, but we also supervise portfolio transfers from one insurer to another and help them set up risk management. In addition, we help to model and quantify new risks (such as Cyber), and to deal with new requirements from those involved, for example regarding sustainability.
Your challenges
- Taking a directing role in projects and being the first point of contact for customers
- Understanding the world of risk management and associated models and regulations, and being able to explain this to the various stakeholders in a project
- Working with experienced colleagues on interesting (inter)national assignments
- Being able to (further) develop yourself in a dynamic team
- Growing into a sought-after (financial) risk professional and confidant for our clients
- Master in a field such as quantitative (business) economics, mathematics, econometrics or actuarial science
- You have at least 5 years of relevant work experience in financial services (preferably in the insurance sector)
- You have experience in managing a team and guiding (junior) colleagues
- You have experience in taking responsibility for consultancy assignments
- You have an affinity with (risk) models
- You have knowledge of Solvency II and/or IFRS17
Skills
Quantitative & Model Risk
Job Reference
165189
Date Posted
7 Mar 2025
Industry
Consultancy
Category
Risk Management
Role
Quantitative Risk Analyst
Level
Management
Employment
Permanent
Working Location
Hybrid
Salary/Rate
120,000 EUR
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