Ensure financial risks are managed through effective review, constructive challenge, and meaningful discussion with business leaders emphasizing transparent decision-making in alignment with the established risk management framework and governance. Establish productive relationships with risk owners, ensure appropriate data-driven analysis supports decisions, and actively participate in risk governance forums; Operate in a leadership capacity in alignment with the CRO to communicate appropriate updates on financial risks to key internal and external stakeholders. Maintain a pulse on top financial risks to Transamerica and communicate messages targeted to specific audiences in a relatable, transparent way
Requirements:
Bachelor’s degree in finance, actuarial, economics, mathematics or related field; 12 of experience in financial risk management, financial management, or related area; Eight years of experience in the insurance industry; Knowledge and experience in investment and mismatch risk management, derivatives, insurance products, and insurance valuation principles
Text:
Head of Financial Risk Management Ensure financial risks are managed through effective review, constructive challenge, and meaningful discussion with business leaders emphasizing transparent decision-making in alignment with the established risk management framework and governance. Establish productive relationships with risk owners, ensure appropriate data-driven analysis supports decisions, and actively participate in risk governance forums; Operate in a leadership capacity in alignment with the CRO to communicate appropriate updates on financial risks to key internal and external stakeholders. Maintain a pulse on top financial risks to Transamerica and communicate messages targeted to specific audiences in a relatable, transparent way Bachelor’s degree in finance, actuarial, economics, mathematics or related field; 12 of experience in financial risk management, financial management, or related area; Eight years of experience in the insurance industry; Knowledge and experience in investment and mismatch risk management, derivatives, insurance products, and insurance valuation principles
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