Senior Risk Analyst, Nordea Pension

1 month ago


Copenhagen, Denmark Nordea Bank Full time

Job ID: 23968 
 

Would you like to be part of our risk management team working in Nordea Pension? We are now looking for a Senior Risk Analyst to strengthen and develop our risk management system in all aspects of our business.

At Nordea, we see that the world is changing fast – and we want to be one step ahead of the curve. That’s why we’re deeply committed to providing the financial solutions of tomorrow to our customers. We’re creating an agile environment where we experiment and grow together – and we need your ideas and unique background. With us, you’ll be in good company with a chance to make your mark on something bigger. 

About this opportunity

Welcome to the Nordea Pensions Risk Management team. We add value by ensuring an effective risk management system is in place in Nordea Pension. As Senior Risk Analyst, you’ll play a valuable role in ensuring strong risk management within Nordea Pension in Denmark.

What you’ll be doing:

Ensure robust management of relevant risks in Nordea Pension

Help develop risk management of all current and emerging risk themes, such as ESG related risks

Engage with a broad section of stakeholders in Nordea Pension to oversee and challenge our risk exposure

Analyse complex ideas or proposals and build a range of meaningful recommendations

Use multiple sources of information including broader stakeholder views to develop solutions and recommendations

Maintain our framework of risk related policies and processes

You’ll join a small and diverse team of experienced risk professionals. The role is based in Copenhagen.

Who you are

Collaboration. Ownership. Passion. Courage. These are the values that guide us in being at our best – and that we imagine you share with us.

To succeed in this role, we believe that you:

Enjoy working across a varied field of subjects with many different stakeholders

Take initiative to identify and shape topics of work

Strengths include analytical thinking and a structured approach with attention to detail

Have strong oral and written communication skills

Your experience and background: 

Knowledge of Solvency II, QRT, ORSA, SFCR, RSR, etc. is an advantage

Proven risk management and control experience within the insurance, pension, credit or investment management financial sectors

At least 5 years’ experience from risk, capital or investment management within the financial sector

Academic degree – preferably at Master’s level or equivalent – in a quantitative field such as finance, economics, actuarial science, mathematics, statistics or similar

The internal language in Nordea Pension is Danish, hence fluency in both written and spoken Danish is important. Other than that, all analysis, reports and presentations that we perform are in English, and all projects that you will take part in on Nordea Pension Group level are conducted in English, and therefore, fluency in written and spoken English is essential

If this sounds like you, get in touch



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