Risk Modelling and Insurance Expert

7 days ago


London, Greater London, United Kingdom ORANGE MALONE LTD Full time

Orange Malone is working with a leading insurance company to find a Senior Manager, Risk Modelling specialist who will focus on risk modelling and aggregation, as well as insurance risk.

Key Responsibilities:

• Develop and implement risk models and aggregation approaches to support the company's insurance risk management strategy.

• Collaborate with the C-suite and regulatory bodies to ensure compliance with regulatory requirements, such as Solvency II.

• Maintain and develop the company's internal aggregation approach and Economic Capital model.

• Liaise with stakeholders to ensure effective risk management and mitigation.

Requirements:

• 7+ years of experience in a quantitative field within insurance.

• Qualification in a quantitative discipline, such as quantitative finance, actuarial sciences, or mathematics.

• Proven experience in developing insurance risk and risk aggregation models, preferably regulatory-approved Internal Models and/or Economic Capital Models.

• Experience with risk aggregation techniques and knowledge of regulatory frameworks, including Solvency II.

• Excellent project management skills, with experience in stakeholder management.

• Strong knowledge of MS Office and programming languages, such as R, Python, or VBA.

Preferred Qualifications:

• Experience in the Insurance Sector, with knowledge of life insurance products across Europe.

• Experience in project management with active stakeholder management.

• Knowledge of regulatory frameworks, including Bermuda and IAIS.



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