Financial Analyst for Asset Management department (Investments)

Are you into financial analyses and you have got a good orientation within asset management and investments? You are in the right place!
Do you enjoy working with investments? Are you good with numbers? We are looking for a highly motivated and result-oriented colleague to join our Finance Asset Management team!

What will be your key responsibilities:

The Asset Management (AM) function manages the assets that the company generates through its core insurance and reinsurance businesses. We do so by using a robust asset-liability management process. In addition to matching assets and liabilities, the team optimizes risk-adjusted investment returns within defined risk limits.
Who are our clients?
Business Units, Reinsurance, Corporate Solutions, and Life Capital.
Their portfolios are handled individually according to their needs and objectives. Asset Management provides an efficient operating platform capable of supporting all financial market activities.

The job itself along with the team's trainings framework and knowledge-sharing culture offers excellent learning opportunities as you would have insights into how various investments work in real-world and how they impact the company's Balance sheet and P&L.

What is YOUR future job all about?

You will be responsible for weekly Profit&Loss projections for senior management.

You will review and analyze Balance sheet and Profit&Loss data in Excel and provide analysis of investment results to internal parties as well as external analysts, credit rating agencies, and regulators.

You will prepare various EVM & US GAAP reports for senior management and Business Units.

You will have the opportunity to work on key Asset Management deliverables such as result conference presentations, analyst and investors slides, analyst Q&A and various other reports.

You will collaborate with Chief Investment Office and Treasury and support them in various investment-related analyses they may need.

You will participate in various projects, work on process improvements and simplifications

We are a team of 10 and are responsible for internal and external reporting for the Group Asset Management. We analyze and report financial results for investment portfolio which contains various types of financial instruments such as bonds, equities, alternative investments, and financial derivatives. On weekly basis, we also prepare Profit and Loss (P&L) projections for senior management. Part of the Finance Asset Management team that you will cooperate with is located in New York and London.

What experience should you have:

  • 2+ years of relevant work experience
  • University degree in finance or banking
  • Knowledge of financial markets is a must
  • Good command of written and spoken English
  • Ability to learn and flexibility to take on new challenges
  • Detail orientation and good analytical skills
  • Strong teammate

  • ACCA or CFA
  • Big 4 experience is an advantage

What do you get in return:

What could you get excited about when being hired?
  • Flexible working time and home office policy (currently due to COVID-19, 100 % Home office)
  • Training & Development opportunities
  • Extra 5 vacation days per year
  • Sick days – up to 6 per year
  • Public transport allowance (50%)
  • Fully-covered lunch allowance irrespective of how many days they worked in a given month
  • Referral bonus
  • Program focused on subsidizing certain carbon-reducing investments (such as bicycles, home appliances, etc.) made by employees by reimbursing 50% of the product price
  • Free fruits & beverages
  • Volunteering activities
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