Chief Investment Officer (GR)

Allianz
Greece
Workplace: OnsiteFull timeFunction: Finance & AccountingExperience: 3-5 yearsSkills: ["Leadership","Stakeholder management","Strategic decision-making","Analytical skills","Communication"]

Lead Allianz Greece’s investment function, owning investment strategy, strategic asset allocation, ALM, and liquidity management. Oversee diversified portfolios across fixed income, equity, alternatives, and cash to deliver risk-adjusted returns while meeting Solvency II and regulatory requirements. Manage external investment partners, ensure governance and performance reporting, and provide investment recommendations to executive and board stakeholders, including support for capital optimization and M&A activities.

Loading

Loading job details...

Preparing the role view and application actions.

FursaFursa
Allianz
Allianz
1 day ago

Chief Investment Officer (GR)

✓ Verified Job

Canonical indexed version, validated from employer's careers page.

Source: Company careers pageValidated by: Fursa AI
Last checked: 11 hours agoStatus: Live

Job Summary

Lead Allianz Greece’s investment function, owning investment strategy, strategic asset allocation, ALM, and liquidity management. Oversee diversified portfolios across fixed income, equity, alternatives, and cash to deliver risk-adjusted returns while meeting Solvency II and regulatory requirements. Manage external investment partners, ensure governance and performance reporting, and provide investment recommendations to executive and board stakeholders, including support for capital optimization and M&A activities.
Location: Greece
Workplace: Onsite
Employment Type: Full time
Job Function: Finance & Accounting
Seniority: CXO level

Key Responsibilities

  • •Develop and implement the company’s investment strategy across portfolios aligned to business, capital, and solvency objectives.
  • •Lead strategic asset allocation, asset-liability management (ALM), and liquidity management processes.
  • •Oversee management of fixed income, equity, alternative investments, cash, and other asset classes to achieve target risk-adjusted returns.
  • •Ensure compliance with Solvency II, local regulations, Allianz Group standards, and internal investment governance; manage investment governance.
  • •Monitor markets and performance, manage investment risk (stress testing/scenarios), and provide investment recommendations to CFO, Investment Committee, Board, and Group stakeholders.

Key Requirements

  • •Bachelor’s degree in Business, Finance, Insurance, or a related field, and a CFA certificate; master’s degree preferred.
  • •Minimum 3-5 years’ experience in similar financial sector roles, including 2-3 years of leadership experience in investment functions.
  • •Proven track record managing large, diversified investment portfolios and delivering sustainable investment performance.
  • •Deep understanding of Solvency II, IFRS, insurance balance sheet management, and investment regulations.
  • •Strong financial modeling, valuation, and analytical skills, with leadership and stakeholder management capabilities.
Experience:3-5 yearsInsuranceAsset management
Education:
Skills:LeadershipStakeholder managementStrategic decision-makingAnalytical skillsCommunication
Certifications:CFA
Languages:GreekEnglish
Tech Stack:Financial modelingValuationAI tools

Company Brief

Allianz
Global insurance and financial services group offering property-casualty insurance, life and health insurance, asset management, and corporate risk solutions to individuals, businesses, and institutions across more than 70 countries.
Industry: Insurance
Company Size: Enterprise (1,001+ employees)
Revenue: USD 1B+
Growth: Public Company
Valuation: Public Company (Market Cap in USD)
Funding: IPO / Publicly Listed
Headquarters: Munich, Germany
Founded: 1890
WebsiteLinkedIn