Brussels, Brussels Region, Belgium
Leadership experience in managing cross-functional teams with numerous people. Establish good rapport easily and facilitate collaboration. Result oriented, strong self-motivation, setting challenging targets and achieving them.
Leads risk management function for the group captive, ensures captive solvency and Solvency II compliance, and optimizes risk financing objectives by overseeing underwriting, claims, and performance. Reports to Board on risk profile and performance.
Developed and managed Group Enterprise Risk Management (ERM), Business Continuity program, and Property Damage-Business Interruption (PD-BI) insurance programs. Monitored and mitigated property risks, supported management and calibration of Group insurance programs. Reported to executive committees.
Led global ERM framework design, implementation, and digital transformation. Drove development of methodologies for risk aggregation and risk assessment in major investments.
Led Credit Management and Treasury teams (12 members), defining and implementing country-specific guidelines. Managed credit risk, including creditworthiness assessment and collections, optimized working capital, and oversaw treasury operations and bank relations. Ensured HQ alignment.
Led Credit Management team (5 members), implementing country-specific guidelines. Oversaw creditworthiness assessment, collections, credit insurance, and supplier financial analysis. Managed factoring operations and ensured HQ alignment.
Evaluated the need for investment evaluation standards, reviewed investment appraisal methods (CAPEX, M&A, R&D), and performed Discounted Cash Flow (DCF) analysis.