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Master in Marketing e Comunicazione d’Impresa Verona

Allianz Spa > offerta di lavoro n. 223857

immagine: lavoro con Allianz Spa

P&c Risk Management

> 867

Assunzione alle dipendenze

Tempo indeterminato

regime orario
Full time

luogo di lavoro
IT Friuli Venezia Giulia, Trieste

area professionale
Banking, Insurance

livello professionale

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Descrizione della posizione

The P&C Risk Management team consisting of P&C Risk Managers/ Risk Analysts/Actuaries needs to be extended. The team covers the following areas of responsibility:


Risk Capital for P&C Companies:

  • Calculation of Risk Capital mainly for Non Life Underwriting Risks but also for Market and Credit Risks, using Allianz Internal Model, Standard Formula and USP parameters
  • Analysis of Risk Capital and comparison among different models
  • Development & parameterisation of the model for Solvency II and internal steering purposes
  • Development of related infrastructure for the calculation process
  • Model & parameter documentation and related governance including exchange with intra company expert teams
  • Translation of risk capital results in business steering (product approvals, reinsurance optimization, underwriting, monitoring KPIs)


Risk Management activities:

  • Actively follow risk management topics in the following business processes, e.g.
  • UW decisions
  • Reinsurance decisions
  • Special Risk monitoring (e.g. cat exposure)
  • Input for strategic questions (M&A, new product lines)
  • Design and calculation of Stress tests
  • Interaction with business, actuarial departments, actuarial function and qualitative risk management
  • Overall risk management for P&C subsidiaries
  • Internal and External Risk reporting/ORSA
  • Reporting to Allianz SE Group



Interaction within company and industry peers:

  • Reporting to supervisory bodies, company board and Risk Committee
  • Interaction with supervisory bodies
  • Contributions to relevant sector meetings (UW, Claims, Reinsurance)
  • Interaction with Allianz Group functions to illustrate results and participate in relevant Group projects


Follow market developments with regard to Solvency II and risk management actuarial topics.



  • Our team is looking for an enthusiastic university graduate with good knowledge of risk related areas/methods and strong actuarial/quantitative/analytic skills
  • The candidates must have sound technical knowledge with actuarial and/or risk management models as well as familiarity with working with statistic software and data bases.
  • Further, we are looking for candidates that are highly result oriented with good communication skills, both oral and in writing, who are able to explain technical topics to a non-technical audience.
  • Candidates should be excited about working in a dynamic team and international environment. Experience working in managing projects would be helpful.
  • Since business communication in Allianz SpA is conducted in English and Italian, a fluent Italian & English is required
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