We are looking for a technically competent and business-oriented Insurance Portfolio Risk Manager, who will take a key role in understanding and controlling development of the non-life insurance portfolio and underwriting results of the Private and Commercial sales divisions in the three Baltic countries. This is a cross-functional position which is a part of the Finance Office but highly involved in working with business units aiming to support strategic and operational targets of the Company.
About the job:
- Monitoring portfolio performance and execution against targets;
- Design new and improve existing forecasting models aiming to understand the current portfolio development and impact of changes;
- Actively manage and control risk appetite, identify new risks;
- Identify gaps and opportunities in insurance products/risk area;
- Support business planning/forecasting and reporting activities;
- Advise on insurance portfolio strategy and pricing decisions aiming to balance profitability and growth;
- Design and measure operational KPI,
- Provide information and proposals for management decisions;
- Prepare ad-hoc analyses and scenarios.
About you:
- Higher education in Insurance economics, Data/actuarial sciences, Risk management or Finance;
- Advanced analytical and mathematical skills;
- Experience in data modelling. Experience in R programming languages is an advantage;
- Good knowledge and experience in working with insurance products;
- Experience in working with data warehouses (for example SAP BO);
- Strong willingness to understand business processes and seek the right solutions to support them;
- Good communication and presentation skills;
- Ability to take initiative and work independently;
- Results-oriented attitude and analytical thinking;
- Ability to guide and influence others;
- Fluent in English, both oral and written.
We offer:
- Interesting and dynamic work in a growing international company;
- Personal and professional development driven by challenging and exciting tasks;
- Friendly colleagues;
- Good motivation package and common company benefits;
- Working environment with high ethical standards and values.
The salary for these positions is offered from 4467 EUR to 6700 EUR before taxes. The final salary for this position depends on the selected candidate‘s skills and competence. According to Gjensidige’s remuneration policy, salary is only a part of the remuneration package. Employees are provided with benefits, such as additional winter holidays, health and life insurance, and many others.
Please send your CV and application letter in English to atranka@gjensidige.lt till October 29th 2022 with subject “Insurance portfolio risk manager”.
We will contact only selected candidates.
Confidentiality guaranteed.
Information about personal data processing of applicants for vacancies in the company you will find here: Personal data processing of applicants for vacancies in the company