Description du poste
Solvency II & Capital management Analyst
We are seeking a Solvency II and Capital management analyst responsible for the preparation and submission of all regulatory reporting to various regulators and supporting capital management activities.
Responsibilities
Preparation of the market value balance sheet and eligible own funds of Europ Assistance entities for quarterly and annual Solvency II processes.
Participation in the preparation of narrative reports (SFCR, RSR), support for ORSA, and quarterly and annual QRTs.
Active participation in the preparation of the Capital Management Plan of Europ Assistance entities and in ad-hoc capital management related activities.
Support to the Intra-Group transaction financial analyses and project coordination.
Preferred Experience
Master’s degree from a top school.
Perfect command of English, written and spoken.
Finance professional with 3–5 years’ experience dealing with Solvency II matters, ideally in a P&C insurance company.
Analytical, organizational and interpersonal skills.
Highly organized with attention to detail and accuracy.
Ability to work with strict deadlines.
Process improvement mindset.
Able to work in a highly matrixed, fast‑paced, dynamic environment.
Hands‑on with a strong sense of urgency and willing to “roll sleeves up”.
Experience in project management is a plus.
Knowledge of IFRS 17 and Tagetik are a plus.
Additional Information
Contract type: Full‑Time
Location: Saint‑Denis
Education level: Master’s Degree
Experience: > 3 years
Possible partial remote
Recruitment Process
HR – N+1 / N+2 / N+3
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