Rolf van der Meer
Senior Risk Manager @Zurich Insurance
Signup · Get unlimited contacts
WORK HISTORY
Senior Risk Manager @Zurich Insurance
Cologne, DE
I am senior risk manager in a team that looks after Zurich’s life insurance companies in Germany. Our mission is to support the first line (investment managers, product managers, sales, actuaries etc.) in managing their risks. I provide risk opinions and assessments to the management board, contribute to extensive risk reports, monitor early warning indicators and investment limits, and act as sparring partner in projects. My personal focus areas are financial risks arising from investments (interest rate, credit and real estate in particular), operational risks and risks arising from the sales and distribution of insurance products.Among the tools I work with are asset/portfolio management software, risk management applications (stress testing, scenario building, Solvency 2), reporting tools, etc. Key elements of the regulatory background include Solvency 2, UCITS, VAG, EU Delegated Act, MaGo, BaFin circulars, EIOPA guidelines, etc.
EDUCATION
Duke University - The Fuqua School of Business
Master of Business Administration - MBA, Business Administration and Management, General
Hogeschool voor Economische Studies Rotterdam (HES)
Bachelor of Arts - BA, Business and Foreign Languages
The Wharton School
Fintech: Foundations & Applications of Financial Technology
Hochschule Bielefeld
Bachelor of Arts - BA, European Management Studies
SKILLS
ABOUT ROLF VAN DER MEER
Dedicated teamplayer with a professional multicultural background in insurance, investment, banking and fintech… a passion for risk management and a lot of curiosity!
This profile is compiled from publicly available professional sources. Unifers is not affiliated with or endorsed by LinkedIn. Request removal of this profile.