Location: Munich, DE
Are you passionate about financial risk assessment and eager to make a meaningful impact on a global scale?
Join our dynamic Credit Portfolio Management team where your expertise will directly contribute to the financial strength and resilience of a world-class organization.
We are looking forward to receiving your application!
About the Team
We, in the CorSo Credit Portfolio Management, are currently seeking for a highly motivated Credit Risk Analyst to join our team in Munich. Your role will be to identify risk worth taking while steering away from risk that could destabilize Corporate Solutions. Join us and contribute to protect the reputation and financial strength of Swiss Re Corporate Solutions and support sound risk decisions while ensuring financial resilience of Corporate Solutions!
About the Role
This is your opportunity to analyse risks that matter, protect our reputation, and drive sound financial decisions in a collaborative, forward-thinking environment.
Key responsibilities:
* Quantitative and qualitative risk assessment involving corporate and insurance sectors to form the basis of internal credit ratings, risk limits, and credit risk management strategy
* Analyse corporate and insurance credit risk obligors stemming from alternative risk structure transactions
* Conduct due diligence on corporate and insurance counterparties including analysing financial statements and understanding group relationships
* Accurate and timely reporting of all Corporate Solutions credit exposures for alternative risk transfer transactions
* Coordinate with other Swiss Re functions such as Underwriting, Group Risk Management, and IT to promote prudent risk taking and maintain Swiss Re's financial stability.
* Initiate and participate in projects to improve efficiency of credit steering (including data quality and portfolio analysis)
About You
You're an analytical thinker with excellent judgment and a passion for risk assessment. You thrive in collaborative environments and can translate complex financial data into actionable insights. Your attention to detail is matched by your ability to see the bigger strategic picture.
We are looking for:
* Solid academic track record with a degree in economics, mathematics, or finance. Professional designation such as CFA, CA or FRM is a plus.
* 4+ years experience in credit analytical, credit risk management or financial analysis, with thorough understanding of the corporate sectors. Insurance sector analysis and knowledge a plus
* Experience in insurance credit analysis or other experience in the Captive or Reinsurance industry strongly desirable
* Excellent Microsoft Office (Excel and PowerPoint) skills with exposure to data analysis
* Proficiency in English (spoken and written); additionally French and/or German are a plus
* Co-operative team-player with solid communication and interpersonal skills.
For Germany, the base salary range for this position is between 69.000 EUR and 115.000 EUR for a full-time role.
The specific salary offered considers:
* the requirements, scope, complexity and responsibilities of the role
* the applicant's own profile including education/qualifications, expertise, specialization, skills and experience
In the situation where you do not meet all the requirements or you significantly exceed these, the offered salary may be below or above the advertised range. In addition to your base salary, you may be eligible for additional rewards and benefits including an attractive performance-based annual bonus.