Senior Cat Portfolio Analyst (m/f/d) in Munich or Zurich, Wallisellen
Senior Cat Portfolio Analyst (m/f/d) in Munich or Zurich, Wallisellen
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Wallisellen, Schweiz
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Aufgegeben: vor weniger als einer Woche
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Merken
Anzeigentext
About Us Reinsurance is positioned at the core of the Allianz Group. At Allianz Reinsurance, we provide customized reinsurance solutions by combining technical expertise with deep local market knowledge. Building on our core strengths, we continuously expand our offerings, including advancements in portfolio analytics, catastrophe risk visualization and assessment, and run‑off management. These activities play a vital role in stabilizing and diversifying the Allianz Group, supporting our purpose to secure our customers’ future—today and tomorrow.
With more than 40 years of experience and offices across Europe, Asia Pacific, and North America, we collaborate closely with our partners to understand risk and deliver lasting value. As a global organization, we unite international experts in underwriting and risk management, combining global reach with local insight and multi‑segment expertise.
We are committed to fostering an inclusive culture rooted in collaboration, trust, and integrity—an environment where everyone can thrive. Our flexible work arrangements, ongoing learning opportunities, and supportive leadership empower our employees to grow and help shape the future of reinsurance.
Department Description / Job Purpose / Role As a Senior CAT Portfolio Analyst, you will play a fundamental role in analyzing and managing our portfolio of catastrophic risks. In your role, you will lead efforts to assess risk exposure, develop strategies, and support decision‑making processes to optimize our Nat Cat reporting processes and ensure resilient limit monitoring, while adhering to Solvency II regulations and managing the Nat Cat premium risk.
Key Responsibilities
Develop and enhance the internal model for Nat Cat for Allianz Group, ensuring its alignment with industry standards and regulatory requirements within Solvency II.
Conduct, develop and refine risk capital calculations for Nat Cat portfolio and impact analysis, effectively communicate to senior management and other stakeholders within Allianz Group and Allianz Re.
Perform Nat Cat Limit System monitoring and reporting, ensuring timely communication to senior management.
Develop data‑driven strategies for portfolio steering.
Critically assess the data quality, strengths and limitations of capital modelling and contribute to its continuous improvement.
Lead Solvency II related topics around Cat Capital Assessment (documentation of results, tools and processes).
Collaborate with underwriters, actuaries, and cross‑functional teams to craft and implement effective capital modelling and reporting.
Support Allianz Group and Allianz Re with analytical tasks around the measurement of Cat exposures, Cat capital reporting, Cat exposure data management, sensitivity testing and analytical analyses around externally placed reinsurance for the group.
Contribute to cross‑risk analytics initiatives, including the enhancement of Cyber risk scenarios and collaboration with the Cyber Center of Competence.
Experience&Key Skills
Experience in the (re‑)insurance industry.
Professional experience in risk analysis, portfolio management and Solvency II regulations.
Drive to keep up‑to‑date with technology and market developments.
Strong communication and presentation skills to explain complex topics to all relevant parties including C‑level and external stakeholders.
Competency of thinking in business terms and pro‑active addressing of customer needs / challenges.
Ability to lead and / or manage multiple cross‑functional projects and meet deadlines.
Independent, structured, and diligent working style.
Strong interpersonal skills and cultural awareness.
Equal Opportunity Statement Allianz Group is one of the most trusted insurance and asset management companies in the world. We stand for unity: we believe that a united world is a more prosperous world, and we are dedicated to consistently advocating for equal opportunities for all. We therefore welcome applications regardless of race, ethnicity or cultural background, age, gender, nationality, religion, social class, disability or sexual orientation, or any other characteristics protected under applicable local laws and regulations.
Join us. Let’s care for tomorrow.
#J-18808-Ljbffr
With more than 40 years of experience and offices across Europe, Asia Pacific, and North America, we collaborate closely with our partners to understand risk and deliver lasting value. As a global organization, we unite international experts in underwriting and risk management, combining global reach with local insight and multi‑segment expertise.
We are committed to fostering an inclusive culture rooted in collaboration, trust, and integrity—an environment where everyone can thrive. Our flexible work arrangements, ongoing learning opportunities, and supportive leadership empower our employees to grow and help shape the future of reinsurance.
Department Description / Job Purpose / Role As a Senior CAT Portfolio Analyst, you will play a fundamental role in analyzing and managing our portfolio of catastrophic risks. In your role, you will lead efforts to assess risk exposure, develop strategies, and support decision‑making processes to optimize our Nat Cat reporting processes and ensure resilient limit monitoring, while adhering to Solvency II regulations and managing the Nat Cat premium risk.
Key Responsibilities
Develop and enhance the internal model for Nat Cat for Allianz Group, ensuring its alignment with industry standards and regulatory requirements within Solvency II.
Conduct, develop and refine risk capital calculations for Nat Cat portfolio and impact analysis, effectively communicate to senior management and other stakeholders within Allianz Group and Allianz Re.
Perform Nat Cat Limit System monitoring and reporting, ensuring timely communication to senior management.
Develop data‑driven strategies for portfolio steering.
Critically assess the data quality, strengths and limitations of capital modelling and contribute to its continuous improvement.
Lead Solvency II related topics around Cat Capital Assessment (documentation of results, tools and processes).
Collaborate with underwriters, actuaries, and cross‑functional teams to craft and implement effective capital modelling and reporting.
Support Allianz Group and Allianz Re with analytical tasks around the measurement of Cat exposures, Cat capital reporting, Cat exposure data management, sensitivity testing and analytical analyses around externally placed reinsurance for the group.
Contribute to cross‑risk analytics initiatives, including the enhancement of Cyber risk scenarios and collaboration with the Cyber Center of Competence.
Experience&Key Skills
Experience in the (re‑)insurance industry.
Professional experience in risk analysis, portfolio management and Solvency II regulations.
Drive to keep up‑to‑date with technology and market developments.
Strong communication and presentation skills to explain complex topics to all relevant parties including C‑level and external stakeholders.
Competency of thinking in business terms and pro‑active addressing of customer needs / challenges.
Ability to lead and / or manage multiple cross‑functional projects and meet deadlines.
Independent, structured, and diligent working style.
Strong interpersonal skills and cultural awareness.
Equal Opportunity Statement Allianz Group is one of the most trusted insurance and asset management companies in the world. We stand for unity: we believe that a united world is a more prosperous world, and we are dedicated to consistently advocating for equal opportunities for all. We therefore welcome applications regardless of race, ethnicity or cultural background, age, gender, nationality, religion, social class, disability or sexual orientation, or any other characteristics protected under applicable local laws and regulations.
Join us. Let’s care for tomorrow.
#J-18808-Ljbffr
Highlights
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FirmennameAllianz Reinsurance
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JobtitelSenior Cat Portfolio Analyst (m/f/d) in Munich or Zurich
Sicherheitstipps
Jobangebote, bei denen keinerlei Berufserfahrung erwartet wird, sind selten seriös.
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