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Catastrophe Risk Modeling Specialist
2 months ago
We are seeking a highly skilled Senior Risk Analyst to join our team at Robert Walters. As a Senior Risk Analyst, you will play a key role in supporting the development and maintenance of our catastrophe risk models.
Key Responsibilities- Model Evaluation and Validation: Assist in the review and improvement of catastrophe model changes or Aspen View of Risk development, with a focus on model evaluation and validation.
- Strategy and Planning: Work with CRM Heads to deliver on requests from key stakeholders, such as Underwriting and Risk teams, on event response, climate change queries, and other related matters.
- Documentation and Communication: Ensure model research and validation projects are appropriately documented for different audiences, including underwriters, management, and regulators.
- Methodology Development: Establish approaches and methods for model validation and research that can be applied consistently across projects.
- Regulatory Compliance: Ensure model research and validation projects meet any specific regulatory requirements, such as Lloyd's minimum standards.
- Collaboration and Communication: Collaborate with colleagues, particularly within CRM, but also Underwriting, Exposure Management, Risk Management, ACM, and Capital, to understand differing requirements regarding Aspen View of Risk.
- Stakeholder Engagement: Communicate model research and validation projects to key internal and external stakeholders, including CRM, underwriters, CRM/EM governance committees, and regulators.
- External Relationships: Leverage strong external relationships with model vendors, brokers, industry, and academic experts to further Aspen's understanding of natural catastrophe risk.
- Model Validation: Actively participate in model validation, reviewing 3rd party catastrophe model methodologies, identifying strengths and weaknesses, and opining on the suitability of models and developing adjustments where appropriate.
- Technical Advice: Offer technical advice on models, providing feedback on the appropriateness of broker view and market adjustments.
- Education: Masters degree in Geography, Mathematics, Science, or other natural hazard-related discipline.
- Experience: 5+ years hands-on cat modeling, exposure management, or portfolio analysis experience.
- Technical Skills: Qualified or highly experienced in quantitative and analytical tools, including Microsoft Office suite and SQL.
- Data Manipulation: Technical experience with hazard and vulnerability data manipulation and programming (SQL preferred).
- Model Validation and Research: Experience with undertaking model validation and research projects.
- Model Adjustments: Experience with making adjustments to vendor cat models.
- Data Management: Highly proficient in manipulating, merging, and cleaning or checking data from multiple sources.
- Workload Management: Ability to plan, prioritize, and manage workload effectively and efficiently.
- Teamwork: Ability to collaborate effectively within a team environment, both across entities and the Group.
- Communication: Ability to communicate technical issues.
- Problem-Solving: Strong reasoning capabilities, creative and lateral thinking, with strong problem-solving skills.
- Relationship Building: Ability to build strong relationships with business units to help them identify, prioritize, and monitor concerns relating to cat models and nat cat risk.
- Stakeholder Engagement: Ability to liaise with relevant internal and external groups, such as brokers and vendor modeling companies, to understand varying opinions on nat cat.
- Analysis: Ability to identify reasons for differences between cat models in a given peril region.