We are a large, profitable and continuously growing Insurance Group, one of the main leaders in the Greek market and we are seeking to recruit an Investment Manager. We are looking for an experienced and results oriented professional, reporting to the CIO, to undertake investments research and reporting, an individual with a broad range of knowledge of all asset classes and with demonstrable experience with the strategic asset allocation.
Assess economic and market trends, earnings prospects, financial statements and various other indicators and factors. Conduct ad hoc analysis when requested.
Monitor the asset portfolio positioning and understand economic developments, market environment and performance drivers.
Support the annual Business Plan along with the SAA/ALM exercises, optimize the risk return profile of the organization.
Assist in aligning investment strategy with Solvency II requirements.
Participate in various corporate wide projects such as implementation of IFRS 9 & IFRS 17.
Review and assess the appropriate treatment for new asset types under all relevant dimensions.
Coordinate and implement the production of monthly, quarterly or ad hoc basis investment reports.
Collaborate with internal teams and external advisors, to deliver responses to Committee initiatives.
Collaborate with relevant departments and external advisors in the context of new transactions including coordination of the due diligence process and the transaction closing process.
Maintain operational awareness of the team’s functions and procedures and contribute meaningfully to improving their effectiveness.
Coordinate the monthly investment reporting closing process for both local and group reporting purposes.
Work closely with the internal team on cash management optimization.
Network with industry professionals.
Knowledge, Skills & Experience
At least 5 years of work experience as an Investment professional.
Bachelor’s degree in Finance/Accounting/Business Administration or similar. Master’s degree is desirable but not mandatory.
Solid understanding of investments, statistics and economics and ability to set-up financial models.
Expert knowledge of fixed income, and other types of assets and derivative instruments, in particular regarding their application and related risks.
Quantitative and qualitative analytical skills.
Familiarity with investment analysis software (Bloomberg).
Knowledge of IFRS 9 is preferred
CFA certification and/or previous working experience in the Insurance sector will be considered an asset.
Strong communication skills, verbal and written, both in Greek and English.
Ability to deliver under pressure to short deadlines and cope with changing priorities.
Team player who effectively collaborates with others.
What we offer
A competitive compensation package relevant to qualifications
Pension and medical insurance
Ongoing training and development
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