La posizione è aperta all'interno del team di Generali Italia.The Risk Management Department is responsible for identifying, measuring and mitigating risks across the investment activities of Generali Asset Management. Within the department, the MtM Portfolio Risk Management team focuses on the definition, implementation and monitoring of methodologies and processes to assess portfolio performance and risk factors for the portfolios managed according to the Mark to Market approach.The Portfolio Risk Manager will join the MtM Portfolio Risk Management team within the Risk Management Department of Generali Asset Management. The role contributes to the analysis, monitoring and communication of portfolio risk and performance across a wide range of investment strategies, supporting internal decision-making processes and interactions with senior management and external stakeholders. The position offers exposure to complex and diversified portfolios within a leading international asset manager, with strong analytical responsibility and high visibility towards key internal committees.Key responsibilities:* Perform portfolio risk and performance analysis across multiple asset classes, including attribution, contribution and factor-based analysis; * Set up and monitor risk limits and thresholds, assess breaches and anomalies, and actively support escalation and remediation processes; * Analyze market, liquidity and sustainability/climate risks across investment portfolios, interpreting and challenging key risk metrics; * Support internal andexternal stakeholders by clearly explaining methodologies, assumptions and results; * Prepare analytical reports and presentations for senior management, internal committees and Boards of Directors; * Respond to complex and ad-hoc analytical requests, contributing expert judgment and pragmatic risk insights; * Contribute to the continuous enhancement and optimization of risk methodologies, tools and processes; * Promote efficiency, automation and data quality improvements in risk reporting and analytical processes; * Ensure risk analysesand reporting are aligned with regulatory requirements and internal policies and procedures; * Support internal governance processes and contribute to regulatory-driven projects impacting risk management activities.* University degree in Economics, Finance or a related quantitative field; * 6-10 years of experience in Investment Risk Management within an Asset Management Company or Financial Advisory for Institutional Investors (or equivalent exposure); * Fluency in English, both spoken and written; knowledge of German and/or French are considered a nice-to-have; * Solid understanding of financial instruments, investment processes and asset management business models; * Knowledge of market risk metrics (UCITS Commitment exposure, AIF Leverage, VaR, TEV, sensitivities) and stress testing / scenario analysis techniques; * Knowledge of liquidity risk analysis/metrics and stress testing; * Knowledge of other investment risks such as credit risk, concentration/counterparty risk and sustainability risk, including climate physical and transition risks; * Knowledge of the European regulatory framework relevant to asset management activities (e.G., UCITS, AIFMD, MMF Regulation, PRIIPs, SFDR, etc.); * Strong quantitative background with solid knowledge of statistical and financial models applied to portfolio risk and performance analysis; * Advanced use of Microsoft Office, in particular Excel; * Experience with financial data / risk platforms such as Bloomberg and/or FactSet; * Programming skills in Python and/or VBA, R, SQL, with demonstrated use in analytical or reporting contexts.Nice to Have:* Hands-on experience with ESG and Climate Risk analysis and stress testing; * Knowledge/experienceregarding Liquidity Management Tools (e.G. gates, swing pricing) and related processes, methodologies and regulatory requirements; * Experience with MSCIRiskMetrics (RM4) and/or SimCorp; * Experience with PowerQuery, PowerBI or similar data analysis and reporting tools.Essere Partner di Vita è la nostra ambizione: ogni giorno vogliamo essere al fianco dei nostri clienti prendendoci cura delle loro vite e dei loro sogni. Questo per noi è Più di un Lavoro.Siamo parte di un importante Gruppo internazionale con oltre 82 mila persone in tutto il mondo e più di 68 milioni di clienti.Siamo tra i principali player globali del settore assicurativo: l'innovazione e la sostenibilità sono nel nostro DNA.Generali Italia è l'assicuratore più conosciuto in Italia con oltre Є28 miliardi di premi totali, 15 mila dipendenti e una rete capillare di 40 mila distributori, oltre ai canali online e di bancassurance. A Generali Italia fanno capo Alleanza Assicurazioni, Das, Genertel e Genertellife, Generali Welion, Generali Jeniot e Leone Alato, oltre alle attività della Business Unit Cattolica.Il Gruppo Generali offre delle interessanti opportunità di arricchimento professionale in un contesto lavorativo caratterizzato da:Cultura aziendale solida e aperta, modi di lavorare innovativi, formazione e affiancamento a supporto di un inserimento efficaceAmbiente di lavoro inclusivo in cui ognuno si sente accolto, libero di esprimere al meglio la propria identità, le proprie idee e le proprie capacità: perché siamo Più che diverse, Persone UnicheQualità dei processi e iniziative per le nostre persone, che ci distinguono come Top Employer.