Cédrik d'Aviau de Ternay, FRM, CERA, CESGA
Chief Investment & treasury Officer de Generali France
Generali•Paris et périphérie
View LinkedIn ProfileExperience21+ Years
LevelCXO
Career Timeline
- GeneraliCurrentJul 2024–Present· 2 yrs 2 mos
- Chief Investment and Treasury OfficerCurrentJul 2024–Present
- 2013–Jun 2024· 11 yrs 5 mos
- Chief Investment Officer Generali FranceMar 2021–Jun 2024
- Head of Investment Policy Generali France2018–Mar 2021
- Global Head of Group Investment Products, UL & ILPJul 2016–Dec 2017
- Head of ALM & SAA France, Benelux and LatAm & Group ALM SAA Project Manager2013–Jul 2016
- Jul 2012–Nov 2013· 1 yr 4 mos
- Senior Manager, Information TechnologyJul 2012–Nov 2013
- 2010–Dec 2015· 5 yrs 11 mos
- Trainer on ALM and Actuarial modeling2010–Dec 2015
- 2009–2011· 2 yrs
- Professor/lecturer at Master's Degree (ISIFAR)2009–2011
- 2008–Jul 2012· 4 yrs 6 mos
- Head of Investment Risk Management and ALM Modeling2008–Jul 2012
- 2005–Dec 2007· 2 yrs 11 mos
- ALM Actuary - ALM & Economic Capital Solvency modeling2005–Dec 2007
Education
CESGA (Certified Environmental, Social and Governance Analyst)
EFFAS (The European Federation of Financial Analysts Societies)Global Future Leadership Program
IMDCERA - Actuaire Expert ERM
Enterprise Risk Management
Institut des Actuaires - ERMFinancial Risk Manager® - Certified by the Global Association of Risk Professionals (GARP)
Investment Risk Management
Global Association of Risk ProfessionalsMaster's Degree
Actuarial sciences
Université Paris Dauphine - PSLMaster's Degree
Mathematics applied to economy (financial markets)
Université Paris Dauphine - PSLExecutive Relationship Map
Reports To
Cédrik d'Aviau de Ternay, FRM, CERA, CESGA
Vice Chair & President
Chief Financial Officer
Chief Technology Officer
Chief Operating Officer
Skills & Expertise
Actuarial ScienceMarket RiskFinancial RiskRisk ModelingRisk ManagementPortfolio ManagementSolvency IIRisk AnalysisFinanceALMHedgingALM - Insurance ModellingInvestmentsMarket and Credit Risk ManagementInsuranceOptionsERM - Solvency IIEconomic CapitalEnterprise Risk ManagementCredit Risk