Solvency II & Capital management Analyst
Europ AssistanceAbout the role
Job Description
We are seeking our future colleague ! Solvency II and Capital management analyst is responsible for the preparation and submission of all the required regulatory reporting to the various regulators. She/he will also support in capital management activities.
Under the Group Treasury Policy and Guidelines, specific responsibilities covers:
- Preparation of the market value valance sheet and eligible own funds of Europ Assistance entities for quarterly and annual Solvency II process;
- Participation of in the preparation of narrative reports (SFCR, RSR), the support for ORSA, and quarterly and annual QRTs;
- Active participation in the preparation of the Capital Management Plan of Europ Assistance entities and in ad-hoc capital management related activities;
- Support to the Intra-Group transactions financial analyses and project coordination
Preferred Experience
Master degree from a TOP School + Perfect command of English (in written & in spoken)
Finance professional with 3 to 5 years’ experience dealing with Solvency II matters ideally in a P&C insurance company;
Analytical, organization and interpersonal skills;
Highly organized with attention to detail and accuracy;
Ability to work with strict deadlines;
Process improvement mindset;
Able to work in a highly matrix-ed, fast paced, dynamic environment;
Hands-on with a strong sense of urgency, and willing to “roll sleeves up”;
Experience in project management is a plus;
Knowledge of IFRS 17 and Tagetik are a plus;
Recruitment Process
HR - N+1 / N+2 /N+3
Additional Information
- Contract Type: Full-Time
- Location: Saint-Denis
- Education Level: Master's Degree
- Experience: > 3 years
- Possible partial remote
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