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Liquidity & Capital Modelling Expert

Employer
SWISS RE SHARED SERVICES
Location
China Raman Cherla, IN
Salary
Competitive
Closing date
Oct 24, 2019

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Job Role
Business Analyst
Sector
Finance
Contract Type
Permanent
Hours
Full Time
iptiQ EMEA Property & Casualty is a newly built unit within Swiss Re Life Capital, established to deliver digital-native and creative solutions for Property & Casualty (P&C) clients and partners across Europe that engage with consumers in non-traditional ways. About the team The Financial Planning & Analysis (FP&A) team of iptiQ EMEA P&C is responsible for planning, internal reporting, cost controlling, and business steering processes and provides management with timely and accurate financial information. About the Role We are looking for a Liquidity & Capital Modelling Expert to lead the maintenance and further improvement of our liquidity & capital modelling and reporting process. You will be the business owner responsible for our liquidity and capital modelling tools and related processes. You will handle a comprehensive part of the liquidity, capital, and Economic Value Management (EVM) reporting and planning for iptiQ EMEA P&C. The role is instrumental to our team and will coordinate major liquidity and capital initiatives. To ensure that the implementation of corresponding methodologies is consistent with Solvency II (SII) and Swiss Re's internal reporting framework, you will work closely with a wide range of colleagues from other teams. You will prepare regular liquidity reports and analyze EVM results to support the Executive Team in their management activities. You will gain a deep understanding of our liquidity and capital reporting activities and can have the opportunity to strengthen your knowledge of other Finance areas. Your tasks and activities will also include Take ownership of the liquidity & capital modelling process and further develop the corresponding methods, including implementation and documentation in line with the Solvency II framework Build economic valuation tools and quarterly reporting templates in collaboration with other Group, Business Unit and carrier finance teams Improve the reporting infrastructure using Tableau Dashboards, including a potential alignment with the capital reporting tools Prepare cash flow and liquidity scenario analysis, e.g. distribution partner acquisition activities, liquidity & capital planning, and ORSA scenarios Foster a high data quality and an automated reporting infrastructure in close cooperation with Finance IT Contribute to the overall maintenance of the reporting infrastructure, including the related operational risk controls

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