需要有关再保险的操作风险的建议
Got called down for an interview for a fulltime role in operational risk at Swiss Re in about a week's time. I have a few questions regarding the role that I'm hoping someone here would be kind enough to shed some light on.
职位描述是通用的,指出工作涉及确保内部流程符合指南或框架,维持仪表板等。我了解运营风险的一般思想,但是它在再保险公司中涉及什么,以及它有什么不同来自其他FIS,例如银行?
Is this role related to finance at all, or does it just involve pure operations of an MNC?
我进行了另一项采访,为中型投资管理公司中的投资绩效发挥作用。假设我确实从两家公司那里得到报价,那么在职业发展/机会和工资(长期)方面,哪个角色会更好?
谢谢你。