Associate Treasury Capital Management Analyst

Details of the offer

Job Description About this job: We are looking to hire an Associate Treasury Capital Management Analyst in Dublin reporting to the Senior Treasury Capital Management Analyst.
In this role you will be assisting with for the Rating Agency Capital calculations of the Company and contribute to the Market Risk Capital Calculations & Analysis (Notably Solvency II SCR) that underpin the Company's Regulatory Capital frameworks.
About the role: This role provides the opportunity to understand and familiarize yourself with the treasury function activities and their impact on the business.
Through the rating agency capital and the regulatory capital frameworks, you can build an understanding of the capital strategies and identify optimizations and improvements of the current process.
You will be collaborating with people around the globe across various functions including risk management, asset management, underwriters, catastrophe modelling, and finance.
Key responsibilities: Support the rating agency capital process, including modelling, monitoring, assessing, and forecasting of various rating agency capital requirements.
Collaborate with various department within the company for planning and consolidating the reports.
You will assist in tracking and reporting the outcomes over time to both the Finance and Risk functions of the organization, notably for S&P, AM Best and Moody's.
Assist in integrating the Company's actual, required and forecasted rating agency capital requirements in the company's projections and future planning.
The activities involve assessment of the available capital, contribute to the projection of the capital structure of the company (external debt, hybrid equity etc.)
and assessing the dividend capacity of the company.   Support the quarterly and annual computation of the various regulatory requirements (Solvency II, HK RBC and PRA) of the company and a number of key operating subsidiaries.
Analyze the results, investigate and understand the underlying reasons of the changes.
Involved in the methodologies applied on the different regulatory requirements (Solvency II, HK RBC and PRA) and assess the impact of changes that arise or improvements that may be implemented in a continuous manner.
Contribute the continual improvement in the process by leveraging the capacity of existing tools and exploring new automation possibilities.
Participate in any capital modelling requirements that arise due to stress testing, changing regulatory guidelines or required regulatory simulations.
Qualifications About you: You are looking for an opportunity to apply your analytical skills in a global reinsurance company.
You are a good communicator and are able to present the results of your work in an effective way.
You enjoy interacting with people from different teams and building up a network of contacts across the company.
The ideal candidate will have the following background, skills, and mindset: Background in Finance Excellent quantitative skills 2-3 years (Re-)insurance or similarly adaptable finance/investment industry experience.
A candidate without prior experience but having exceptional academic background may be considered as an entry level position.
Familiarity with Regulatory (e.g.
Solvency II) or Rating Agency Capital models (e.g.
S&P).
Creative mindset and open for new challenges IT proficiency is a plus (e.g., VBA, R, Alteryx, Addactis).
Proactive with a team spirit and strong communication skills.
Strong work ethic and commitment to meeting deadlines.
Relevant professional qualification, such as CFA, or progression that regard.
Fluent in English Additional Information #LI-Hybrid PartnerRe provides a working environment in which diversity is valued, where all employees feel welcome, respected, and empowered to perform at their best.  We invite you to learn more about D&I at PartnerRe.
Thank you, PartnerRe Hiring Team


Nominal Salary: To be agreed

Source: Talent_Ppc

Job Function:

Requirements

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