Your Tasks
- Analyse, monitor, and manage foreign exchange risks in international insurance transactions
- Develop and implement strategies for effective currency and collateral risk management
- Execute currency hedging transactions using financial instruments and derivatives
- Administer collateral instruments such as Letters of Credit (LoCs) and Trusts
- Collaborate closely with internal departments, including Treasury, Finance, and Risk Management
- Track and evaluate developments in global FX markets and relevant regulatory requirements
- Prepare reports and analyses for management and internal stakeholders
Your Profile
- Degree in Economics, Business, Finance, or a comparable qualification
- Strong interest in investment, risk management, insurance regulation, and accounting topics
- Practical experience in FX management, collateral management, or treasury is an advantage, ideally within an international insurance or financial environment
- Interest in working with IT applications and data systems
- Excellent stakeholder management skills and ability to thrive in an international environment
- Strong command of English and German
- Analytical mindset, high self-motivation, and ability to work effectively in a team
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Flexible working hours |
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Health management |
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Mobile working |
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Further training |
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