Responsibilities:
- The monitoring and identification of current and emerging risks developing within the system;
- Utilizing econometric research and financial modelling, thus used in contributing to the development of the insurance top-down stress test model;
- Preparing and reviewing technical and analytical reports, briefing notes on systemic and/or other associated risks;
- Contributing to publications in the area of financial stability;
- Assisting in the formulation of recommendations on any risk-mitigation or supervisory measures required to address relevant risks;
- Advising and acting as a point of reference to other members of staff in relation to your designation.
- Reviewing and providing feedback on working documents;
- Preparing relevant content for all mediums of social and interactive media as whenever deemed necessary;
- The mentorship and tutoring of other staff when deemed necessary;
- Attending and assisting in meetings organized within the organization as well as at national and European level;
- Nurturing good working relationships with both internal and external stakeholders and maintaining a high quality standard of work;
- Any other potential tasks or duties as directed by management.
- Experience within the insurance sector analysis.
- Someone with an interest in developing risk monitoring metrics.
- You are expected to be flexible and dynamic in order to add value to a multidisciplinary team.
- You are required to have excellent oral, written and presentation skills.
- Knowledge of the following data Analysis tools would be essential Python, R and SQL
- Experience with the financial stability sector and research publications will be an asset.
- MQF level 6 or better in insurance, finance, economics or other relevant studies certified by the Malta Qualifications Recognition Information Centre (MQRIC) or a recognized qualification as well as five (5 years) experience in a related area.
- In the case where a potential candidate does not possess the academic qualifications but have amassed 10+ years experience within the financial industry, the role is still open to their application.