Lead Risk Manager
The ideal candidate will have a strong background in risk management, with experience in managing financial, liquidity, and hedging risks. They should also have a solid understanding of Solvency II and BEGAAP frameworks.
* This role involves overseeing the development of best practices for financial, liquidity, ALM and hedging risk management within the organization.
* The successful applicant will guide the organization in maintaining appropriate levels of solvency capital requirements to meet regulatory demands.
In addition to their technical expertise, we are looking for someone who can build relationships with stakeholders at all levels of seniority. The ideal candidate should be able to communicate complex ideas clearly and concisely both verbally and in writing.
A bachelor's degree or higher is required from an accredited university preferably in economics finance or actuarial science Holding CFA certification would be advantageous.
At least 10 years' experience working as a lead –risk manager — within life insurance company is desired Good knowledge key regulations such as Solvency II Begaap Cap regimes REIT/LIIFCO would also be beneficial "],