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Non Life Actuary - Risk & Capital - Manager, London
Client: PwC
Location: London, United Kingdom
Job Category: Other
EU work permit required: Yes
Job Reference:
6a55869e8a75
Job Views:
19
Posted:
12.08.2025
Expiry Date:
26.09.2025
Job Description:
The role
- The PwC Actuarial practice comprises over partners and staff. With offices in London, Edinburgh, Manchester, Bristol, and Mumbai, our consultants focus on non-life, life, banking, and non-insurance, led by a fifteen-strong partner team. We play a leading role in the actuarial community within PwC worldwide and often collaborate with specialists from other disciplines.
- A career within the Non-Life Actuarial team offers the opportunity to provide general insurance advice and consulting services to clients such as insurers, regulators, private equity, and related companies like agents and administrators.
- Our team advises clients in the general insurance and non-insurance industries on business risks and regulatory updates, from natural catastrophes to mortgage defaults. We develop risk analysis and mathematical models to enhance forecasting, limit risks, and utilize data for strategic decisions. Our clients rely on us for insightful challenges to their business models and decision-making processes.
- Our practice is market-leading in the General Insurance space, providing solutions for major clients including multinational insurers, Lloyd’s & London Market, UK & European Personal & Commercial lines, and Reinsurance Market players.
What your days will look like:
- You’ll provide advice on solvency, economic capital, risk management, mergers and acquisitions, restructuring, financial modelling, business planning, legislation, and reporting processes.
- As a Manager, you'll work within a team to solve complex business issues, manage multiple assignments, and interact with clients as a main contact. Opportunities include working with multidisciplinary teams and international networks.
- You’ll support strategic management, develop core product areas like risk and capital, and contribute to training and mentorship programs.
This role is for you if:
- We seek a Manager with relevant experience, teamwork skills, responsibility, agility, clarity, and motivation.
- You should have a good understanding of capital modelling, risk management techniques, and market issues, with the ability to communicate complex topics clearly. Experience in areas like Catastrophe Risk, Reserving & Pricing, IFRS17, or emerging fields such as Cyber, Climate, ESG is advantageous.
- Experience in risk and capital modelling, insurance risks, Solvency II internal models, software like Igloo, ReMetrica, Tyche, and regulatory relationships is preferred.
What you’ll receive from us:
Our benefits are designed to support and recognize your contributions, including flexible working arrangements, private medical cover, volunteering days, and more.