F

Françoise Gilles

CEO

France27 yrs 7 mos experience
Most Likely To SwitchHighly Stable

Key Highlights

  • Proven leadership in risk management at AXA.
  • Expertise in economic capital and solvency frameworks.
  • Strong background in actuarial science and insurance.
Stackforce AI infers this person is a Risk Management Executive in the Insurance industry.

Contact

Skills

Core Skills

Risk ManagementEnterprise Risk ManagementCapital ManagementEconomic CapitalAsset And Liability Management

Other Skills

Market Consistent ValuationALMSolvency IIInvestment MandateFinancial & Risk ReportingRisk AppetiteRisk GovernanceSolvency MonitoringFair Valuation of Insurance CompaniesCredit RiskOptimal Asset AllocationAsset AllocationValuationInsuranceActuarial

Experience

Axa

8 roles

Group Chief Risk Officer

Promoted

Sep 2023Present · 2 yrs 6 mos

Risk ManagementEnterprise Risk Management

Executive Committee Member AXA Asia and Africa, Chief Strategy Development Officer

Oct 2021Sep 2023 · 1 yr 11 mos

Executive Committee Member AXA Asia, Chief Risk Officer and Head of Insurance Office Asia

Promoted

Oct 2019Oct 2021 · 2 yrs

Head of P&C Retail Performance Management

Jan 2019Sep 2019 · 8 mos

Non Executive Board Member and Member of Risk and Audit Committee AXA Banque France

Jan 2017Dec 2019 · 2 yrs 11 mos

Board of Directors and Executive Committee Member, Chief Risk Officer AXA Bank Belgium

Nov 2014Dec 2018 · 4 yrs 1 mo

Chair of the Audit Committee and Member of the Supervisory Board, AXA Banque SCF

Jan 2014Dec 2018 · 4 yrs 11 mos

Head of European ALM

Sep 2013Oct 2014 · 1 yr 1 mo

Ing

Head of ALM & Capital Management

Jun 2009Aug 2013 · 4 yrs 2 mos

  • Capital management, market consistent valuation, economic capital, ALM, Solvency II, investment mandate, financial & risk reporting
Capital ManagementMarket Consistent ValuationEconomic CapitalALMSolvency IIInvestment Mandate+2

Diapason sprl

Owner

May 2009Aug 2013 · 4 yrs 3 mos

Fortis

2 roles

Market Risk Manager

Jan 2008Jun 2009 · 1 yr 5 mos

  • Solvency II, risk appetite, risk governance, solvency monitoring, fair valuation of insurance companies, economic capital, credit risk

Insurance ALM Risk Officer

Jan 2002Dec 2007 · 5 yrs 11 mos

  • Asset and liability management for financial conglomerates, optimal asset allocation, economic capital
Solvency IIRisk AppetiteRisk GovernanceSolvency MonitoringFair Valuation of Insurance CompaniesEconomic Capital+2

Université catholique de louvain

Guest Speaker Life Insurance

Sep 2004Sep 2019 · 15 yrs

Ing insurance

Actuary

Sep 1998Aug 2002 · 3 yrs 11 mos

  • Embedded value, modelling of insurance products, profit testing, financial reporting
Asset and Liability ManagementOptimal Asset AllocationEconomic Capital

Education

Université catholique de Louvain

Master in Actuarial Sciences

Sep 1998Jan 2002

Université catholique de Louvain

Applied Mathematics Engineering

Sep 1993Jun 1998

Vlerick Business School

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