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Risk Management    >    Professional    >    Full time

Risk Manager

Your Tasks

  • Aggregation and Reporting of Solvency Capital Requirement and Solvency ratio
  • Preparation of Solvency II reports i.e. SFCR, RSR
  • Contributing to the ORSA process, including risk assessment, projections, stress tests and reporting
  • Monitoring of the Company’s risk profile towards the Risk Strategy
  • Fostering the risk management framework, policies and procedures
  • Cooperation with other departments, VIG Holding and external stakeholders

Our Expectation

  • Minimum 3 years’ experience in (re)insurance risk management or actuarial function
  • University degree, preferably in mathematics, statistics, economics or equivalent
  • Solid knowledge of Solvency II framework
  • Excellent English language skills
  • Responsible and reliable
  • Strong communication skills, proactive attitude

We offer

  • Opportunity for professional development in one of the leading insurance groups in Central and Eastern Europe
  • Attractive, performance-oriented remuneration package
  • An extensive package of benefits
  • Flexible working hours
  • Work in an international team
  • Workplace in the heart of Prague

Professional
Development

Flexible
Working Hours

Home
Office

Cafeteria
System

Life Insurance &
Pension Scheme

Language Courses
Contribution

Public Transportation
Contribution

MultiSport
Card

25 Vacation
Days

3 Flexible
Days

Meal
Tickets

Fruit and Soft
Drinks at Work

Travel
Insurance

Gym and Yoga
Lessons

Bike
Room

We look forward to meeting you!

Send us your
curriculum vitae
and motivation letter
in English.

Apply for the position    
Contact VIG Re

Your application will be handled by
our HR Representative Jakub Kejla

You can find information about the way we process your personal data at our website at the following link.

Your application will be handled by
our HR Representative Jakub Kejla