Description
The role establishes and maintains systems and infrastructure supporting IFRS reporting, regulatory capital, risk appetite, stress testing, and economic capital; supports internal and external audit; and coordinates with customers and stakeholders. It requires significant insurance cash-flow modelling experience, strong Prophet proficiency, knowledge of at least one risk-based capital framework, and progress toward an actuarial qualification. Insurance products, with-profits designs, stochastic modelling, and experience with Tyche, Python, or SAS are beneficial.
