Senior Risk Management Specialist
BULGARIA Accounting / Management control
Job description
What you do
- Ensure compliance with Solvency II by calculating risk-based capital requirements and preparing reports for regulators, Allianz Group, and stakeholders.
- Drive initiatives to strengthen and refine the company's operational risk management framework.
- Monitor the solvency of Allianz Bulgaria Insurance Companies, recommending actions to maintain target capitalization levels.
- Conduct risk assessments, sensitivity analyses, and stress tests, reporting findings to senior management and Allianz Group.
- Develop risk monitoring models, propose mitigation measures, and participate in risk management projects and expert groups.
What you bring
- Hold a Bachelor’s or Master’s degree in finance, economics, mathematics, statistics, actuarial science, or a related quantitative field.
- Preferably have 2-3 years of experience in risk management, actuarial, or investment departments; knowledge of the insurance industry is advantageous.
- Fluency in English, proficiency in MS Office (especially Excel), and possess strong communication and analytical skills.
- Professional certifications like CFA, FRM, or CERA are beneficial; ability to prioritize tasks and work independently is essential.
What we offer
- Offer a hybrid work model balancing in-person collaboration and remote work.
- Provide a comprehensive compensation and benefits package, including bonuses, pension, health insurance, employee shares, and discounts.
- Support lifelong learning through career development, digital learning programs, and international mobility, fostering innovation and empowerment.
- Present excellent career opportunities in insurance, asset management, and banking, with active communication across Allianz Group and key functions.
75188 | Risk Management | Professional | Non-Executive | Allianz Bulgaria | Full-Time | Permanent