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Risk Analyst

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One of our clients, a leader within the financial services industry, is seeking to recruit a Risk Analyst on a full-time basis.


Calculation of regulatory solvency capital requirements in line with Solvency II legislative framework

Preparation of Solvency Capital projections

Carrying out balance sheet sensitivities, stress testing and scenario analysis

Monitoring risk profile vis-à-vis risk appetite

Preparing Quarterly, ad hoc and other regulatory reports (SFCR/RSR etc)

Co-ordinating and preparing monthly risk management reports

Contributing in the development of the risk management framework


An honours degree in Mathematics, Statistics, Actuarial, Economics or other financial related subject

Proficiency in Microsoft office especially Excel is a must

Familiarity with Solvency II legal framework and general insurance business would be considered an asset

Knowledge of statistical software is also considered an asset

Excellent oral and written communication in English


Problem-solver with a can-do attitude and decision maker

Able to work on own initiative

Meticulous with a keen eye for detail

Team player with interpersonal skills

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  • Job reference
  • Country
  • Closing date
  • Primary job focus
  • Job type
    Full Time
  • Status
    Position Opened

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