Job Description
Ensure that the Risk Management Framework related to Financial Risk and related OE specific requirements are fulfilled; especially by coordinating the implementation of the Framework and maintaining and reviewing the resulting processes and mechanisms.Financial Risk assessment of:
Financial Risk topics, including capital adequacy
financial impact of non-Financial Risks
Provides analysis and recommendation with regard to Financial Risk, to support decision whether risk can be accepted, the mitigation plan, reviews/complete the documentation.
Provide quality update and reporting
Candidate must possess at least Bachelor Degree / Master Degree
At least more than 5 years working experience in Risk Management or Actuary
Solid experience on risk & Actuarial modeling, regulatory solvency, capital management
Previous experience in Insurance / Banking Industry is preferable
Strong analytical and planning skills;
Good communication and presentation skills;
Excellent problem-solving skills;