PpWe are looking for a Financial and Credit Risk Analyst who will work within the Financial and Credit Risk Management Unit. /p h3Key responsibilities /h3 ul liMaintaining and developing the methodology, tools, and documentation for the Independent Review and Verification process /li liMaintaining and developing excel spreadsheets to evaluate financial instruments /li liAnalyze external fair value opinions in depth /li /ul h3Requirements /h3 ul liBachelor's and Master's Degree in Finance, Mathematics or Physics /li li1-2 years of work experience in the financial industry /li liKnowledge of Python Programming /li liSolid knowledge of Excel /li liExperience with Bloomberg Terminal pricing functions is preferred /li /ul h3Soft Skills /h3 ul liStrong analytical and problem-solving skills to interpret complex data and provide actionable insights /li liStructured and self-organized /li /ul h3Company Profile /h3 pGenerali Group Head Office is the guidelining unit of the Generali Group, one of the largest global insurance and asset management providers. Established in 1831, Generali is present in over 50 countries in the world, with around 82,000 employees serving 70 million customers, the Group has a leading position in Europe and a growing presence in Asia and Latin America. At the heart of Generali's strategy is its Lifetime Partner commitment to customers, achieved through innovative and personalized solutions, best-in-class customer experience and its digitalized global distribution capabilities. The Group has fully embedded sustainability into all strategic choices, with the aim of creating value for all stakeholders while building a fairer and more resilient society. /p /p #J-18808-Ljbffr