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Job Description
About this job:
Reporting to the Head of Risk Aggregation, you will be part of the Risk Aggregation team within the Capital & Risk Management Department. This global team performs Internal Solvency Capital Model (SCM) aggregate calculations used across the Group and provides internal model-based quantitative risk metrics for both Group and legal entities.
Your responsibilities include assisting in capital modelling and reporting, producing and analyzing Internal Model solvency capital figures, and supporting queries related to required capital, such as quarterly figures, projections, and stress tests. Key tasks involve:
1. Supporting the production of quarterly internal model solvency capital figures for Group and Legal Entities.
2. Analyzing movements in internal solvency capital figures.
3. Assisting in the development of internal capital requirement projections and stress testing.
4. Continuously improving reporting processes.
5. Developing and maintaining model and process documentation.
6. Ensuring data quality standards are met, following governance requirements.
7. Responding to queries and ad hoc investigations regarding capital requirements.
8. Supporting the transition to a Solvency II Internal Model.
Qualifications
About you:
* Master’s degree in Maths, Statistics, Economics, Actuarial Sciences, or related field.
* 4+ years of relevant industry experience, preferably in Solvency II internal capital models and reporting.
* Knowledge of Solvency II is essential.
* Broad understanding of statistical modelling and capital models.
* Non-Life (re)insurance background preferred.
* Proficiency in MS Office; programming skills in Igloo, R, Power Query, or VBA are desirable.
* Strong problem-solving, communication, and organizational skills.
* Ability to propose improvements and take initiative.
* Fluent in English.
Additional Information:
#LI-Hybrid
PartnerRe values diversity and invites you to learn more about D&I at PartnerRe.
Thank you,
PartnerRe Hiring Team
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