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Senior treasury capital analys

Dublin
PartnerRe
Posted: 13h ago
Offer description

Job Summary
We are looking to hire a Treasury Capital Manager in Dublin reporting to the Group Treasurer. In this role you will be responsible for rating agency capital calculations, contribute to market risk capital calculations and analysis (notably Solvency II SCR) that underpin the Company’s regulatory capital frameworks, and work with the Group Treasurer to coordinate the Company’s capital requirements within the broader financial planning process.
This position offers the opportunity to impact business activities by explaining and optimizing rating agency capital usage and to support the wider capital management and planning framework of the Company’s finance organization. You will work extensively with related capital metrics, notably SII Market Risk, and collaborate with global teams across risk management, asset management, underwriting, cat modelling and finance.
About The Role

Lead a team of one direct report that manages rating agency capital, including modelling, monitoring, assessing, and forecasting various rating agency capital requirements, and delivering all related rating agency survey and data deliverables at the Company level and for consolidation into Covea.
Partner with the Group Treasurer to integrate the Company’s actual, required and forecasted rating agency capital requirements into the broader financial planning process, assessing impacts against capital availability and future financing decisions.
Lead the quarterly computation and analysis of Solvency II SCR market risk capital requirements for the Company and its regulated entities, and continually improve this process and related tools.
Provide optimisation strategies and inputs for return‑on‑capital calculations for rating agency capital across investments and lines of business.
Coordinate and track capital requirements across the Company’s legal entities in collaboration with legal entity CFOs.
Develop models and tools to automate rating agency capital data collection and modelling in conjunction with the Company’s IT Finance department.

Qualifications

Minimum 5 years’ experience in (re‑)insurance or a comparable finance/investment industry.
Relevant professional qualification, such as CFA, or substantial progression in that regard.
Excellent quantitative skills and knowledge of rating agency (e.g., S&P) and regulatory capital models (e.g., Solvency II).
IT proficiency in MS Office, Alteryx, Addactis and other relevant tools.
Fluency in English.
Strong communication skills, with the ability to present results effectively.
Proactive, creative mindset, and strong work ethic with a commitment to meeting deadlines.

Additional Information
PartnerRe is an equal‑opportunity employer. We provide a working environment that values diversity, where all employees feel welcome, respected, and empowered to perform at their best.
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