
Capital Management Analyst – 28822
- London
- Permanent
- Full-time
- Team player with excellent written and verbal communication and interpersonal skills
- Experience in identifying and implementing process improvements and efficiencies
- Ability to present risk reward analyses to support risk-based decision making preferred
- Strong technical and analytical skills.
- Professional, enthusiastic, and positive.
- Ability to meet deadlines, work under pressure and manage various priorities at once
- Actuarial student at least 3 full years of experience within any Actuarial discipline. Prior experience with Capital returns is highly advantageous
- Minimum 2:1 degree (or equivalent) in a subject with a high degree of Mathematics. E.g. Mathematics, Physics, Economics with Mathematics, Actuarial Science
- Excellent IT skills including a high proficiency in Excel
- Knowledge of regulatory (Bermuda, Solvency II and Lloyd's) and rating agency capital regimes/requirements desirable
- Capital Management experience very desirable
- An understanding of the underlying finance, reserving and investments data for Capital returns is desirable