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Position: Financial Analyst Internship
Company: Jomec Business & Legal Consulting
Department: /
Location: Rotterdam (Capelle aan den IJssel)


Responsibilities


  • Conducting investment/financial analysis and models for M&A and fund-raising projects;
  • Preparing/drafting business plan and advice, and performing market, industry and company-specific research and analysis;
  • Following up daily inquiry and communication from projects, clients and the portfolio companies;
  • Assisting in the development of strategic cooperation, and the execution of transactions (M&A and JV);
  • Assisting in the investigation and research on the industrial sectors;
  • Assisting in the organization of the Chinese/European delegations of enterprises, investors and governments, and the activities such as seminar, site visit, etc.;
  • Assisting in the preparation and execution of the project related to the introduction of European resources to China;
  • Assisting in investment management and the China projects for the portfolio companies of Jomec and her clients.


Requirements

  • Being a master student or recent graduate (MSc) in Dutch universities with a specialization in Finance & Investment or related majors;
  • Available at least 4 days or a week or full-time basis for 3-5 months;
  • With the general intention to stay in the Netherlands and switch to regular employment after the internship;
  • Being confident in conducting investment/financial analysis and preparing documents and presentations for client meetings;
  • Having excellent communication skills in both English and Chinese (Dutch is not compulsory), and being able to work in a team;
  • Being able to work independently on a tight deadline;
  • Being familiar with Microsoft Office (especially Excel, Word, PowerPoint and Outlook);
  • Customer-oriented, enthusiastic and stress-resistant;
  • Reliability and accuracy are highly valued.







Position: Model Validation Officer
Company: NN Group
Department: Risk
Location: Den Haag


Your main Responsibilities:


  • Independent technical review. Of applied quantitative methods and calculation tools having a material impact on figures that are used as management- / steering information to run the business or figures that are published externally. This includes all underlying models, like data processing models, assumption models and aggregation models. The reviews of the models take place at different stages of their lifecycle: i.e. when the model is initially developed, when the model is implemented, when any significant changes are made and on a regular basis. You are responsible for an effective technical review of a number of moderate and complex models, work according to planning, check progress versus planning and report when this deviates, thereby showing a self-reliant attitude.
  • High-quality validation reports. These reports encompass both a quantitative and a qualitative assessment of a model, containing a mix of conceptual soundness & developmental evidence, outcome and performance analysis. You are responsible for the delivery and guarding of high-quality validation reports in an effective manner.
  • Advice. The validation report includes an advice to various stakeholders and committees whether a particular model is (in)valid for a given intended use with specific recommendations for further improvements. You are able to present MV’s advice to committees and in meetings with stakeholders: i.e. Model Committees, the Management Board, the external accountant and the lead supervisor.
  • Model Validation Policy Framework. All policies are compliant and consistent with relevant regulatory requirements. Whilst fostering the internal model risk management attitude you contribute and are responsible for the delivery and validity of Model Validation Policies. You are able to present any part of this framework to our main internal and external stakeholders.
  • Management. You are able to contribute to the optimal functioning of the MV team, and thereby coach and instruct employees to accomplish their tasks.

    Your main contacts are our professional counterparts and senior management within business lines and/or Risk Management.

    NN is a large organization. If you start working with our team, you will work for business unit NN Group

Your profile:

  • Education level: at minimum a Master’s degree in quantitative studies like Econometrics, Mathematics, Actuarial Science, Physics, etc.
  • Years of relevant experience: over 6 years in an insurance company as an actuary working on and using risk and cash flow models having strong knowledge of insurance products and/or quantitative modeller in the financial industry with a particular focus on asset/capital management modelling, preferably from a Model Validation perspective.
  • Focus on high-quality delivery.
  • Quantitative intuition for oversight of modelling including the ability to critically assess quantitative risk management models and draw key conclusions.
  • Communication skills to advice peer specialists and management, committees, internal & external auditors and supervisors combined with strong writing skills.
  • Ability to distil, prioritise and present key messages of MV to Model Committees, CRO and other key stakeholders (internal and external).
  • Being customer-oriented and able to build positive working relationships while at the same time having a strong independent stance.
  • Ability to review processes in an abstract manner to identify and work on opportunities for (cost) efficiency and/or improving quality of deliverables produced.




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欢迎大家将英文版“简历+动机信”投递至:
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邮件请命名为:姓名+申请公司+职位

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