A London Market International Insurer are hiring for a Finance Analyst to join their Capital Modelling team in a valuable, analytical role that provides senior leadership with financial data and analysis around capital to support with strategic decision making.
Responsibilities will include;
You will take an active role in managing the group’s capital, including preparing forecasts, analysing return on capital metrics, and evaluating the financial impact of strategic business decisions.
You will play a vital role in preparing quarterly and annual Solvency II submissions for the businesses insurance entities and at group level, contributing to reports presented to various Committees and Boards.
You will contribute to external audit processes and build and maintain relationships with third party audit personnel.
Collaborate with Legal, Risk, and Compliance teams on reporting requirements and ad hoc regulatory projects.
You will help imbed the Capital Management function across the organisation, supporting more informed and effective decision-making around capital
Contribute to enhancing and streamlining capital reporting processes, helping to redesign and implement robust, efficient data flows that are fit for purpose and support continuous improvement.
Your experience;
ACA/ACCA/CIMA qualified
Insurance Accounting experience is essential either in an industry role OR through a portfolio of insurance clients from a Big 4/Top 10 Audit firm
Knowledge of Solvency II is desirable but not essential
Strong demonstrable analytical experience, desire to understand the why and how behind the numbers
Excellent communication skills
Proficient in MS Office in particular Excel
Salary on offer is up to £75k + bonus, benefits and hybrid working (3 days in their City of London office)