Senior P&C Actuary - Internal Model & Risk Management

SCOR

Zürich

Vor Ort

CHF 140.000 - 190.000

Vollzeit

Vor 6 Tagen
Sei unter den ersten Bewerbenden
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Zusammenfassung

SCOR, based in Zürich, seeks a Qualified P&C actuary to lead internal model analyses, capital assessment, risk reporting and portfolio steering for underwriting and retrocession risks. The role reports to the Risk Capital team and partners with pricing, reserving, and risk modelling groups.

The successful candidate will analyze exposures, run scenario tests, and deliver insights to senior management, contributing to SCOR's risk framework and governance. English fluency is essential.

Qualifikationen

  • Qualified actuary (SAV, DAV or IFoA) with extensive experience.
  • Proven use of internal models (SST, Solvency II) for P&C risk analysis.
  • 10 years in P&C insurance or reinsurance, with pricing/reserving/capital modelling.
  • Ability to communicate complex risk metrics to senior stakeholders.
  • Proficiency in MS Office and coding (Python).
  • Agile project leadership in a multinational, cross-functional environment.
  • Excellent written and spoken English.

Aufgaben

  • Assess and monitor P&C underwriting and retrocession risks to SCOR's risk appetite.
  • Apply internal model to evaluate P&C risks across portfolios and regions.
  • Perform scenario analyses and stress testing for adverse events.
  • Provide risk insights to support executive decision-making.
  • Develop risk appetite metrics, limits, and portfolio steering frameworks.
  • Collaborate with P&C, Reserving, and Pricing teams on portfolio developments.
  • Support ongoing enhancement of SCOR's internal model with risk modelling teams.
  • Deliver quarterly internal model results and risk reports to stakeholders.

Kenntnisse

Communication skills
Agile leadership
Cross-functional collaboration

Ausbildung

Qualified actuary (SAV, DAV, IFoA)

Tools

MS Office
Python
SST

Jobbeschreibung

SCOR, based in Zürich, seeks a Qualified P&C actuary to lead internal model analyses, capital assessment, risk reporting and portfolio steering for underwriting and retrocession risks. The role reports to the Risk Capital team and partners with pricing, reserving, and risk modelling groups.

The successful candidate will analyze exposures, run scenario tests, and deliver insights to senior management, contributing to SCOR's risk framework and governance. English fluency is essential.

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