中国太平
Financial Risk Manager
岗位职责
--Assist in reviewing, monitoring and reporting financial risks’ status and mitigation plans, including but not limited to financial risk events and key risk indicators; --Assist in the 1st-line departments’ financial risks self-assessment coordination, including monitor the implementation of risk mitigation plans; --Coordinate and assisting in preparing the Own Risk and Solvency Assessment (ORSA) report; --Assist in providing independent opinions on financial risk related initiatives, including product reinsurance, account receivable analysis, investment, business plan etc. --Assist in reviewing effectiveness of 1st-line internal controls in financial risk management and performing internal control testing; --Assist in involving regular risk reports preparation, so as to monitor the execution of the company Risk Appetite; --Assist the maintenance and conduction of financial risk management policies, and monitoring the execution of relevant responsibilities; --Assist in risk management and 3-line of defense culture promotion within the company and its subsidiaries.
任职要求
--Good knowledge in financial risk management for a life insurance company, product pricing and development; Professional experience in international insurance companies is preferred; --Degree in mathematics, actuarial science, statistics, accounting or risk management; --Professional qualification in actuarial, finance or risk management area; --4 to 6 years working experience in actuarial, investment, asset liability management, capital management or financial risk management; --Able to work and make decisions independently; --Possess strong communication skills, report writing (both Chinese and English), interpersonal skills, and the ability to influence at a senior level; --Good at Excel; --Fluency in Mandarin is a plus.
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