Description
The Reinsurance Valuation Analyst supports ad hoc analyses and special projects, with a primary focus on ISL and Trad reinsurance valuation for ceded and assumed business. The role prepares and analyzes monthly, quarterly, and annual valuation work, including LDTI, Hannover ceded reserves, return on premium, reserve rollforwards, reclasses, recapture adjustments, earnings analysis, Stat, Tax, GAAP reserves, and RBC figures. It also supports regulatory and reserve-methodology reviews, audit controls, financial close coordination, TAI system work, and collaboration with reinsurance, financial, operations, systems, accounting, and client partners. The position requires a US location and offers programming skills in SAS, Visual Basic, or SQL, as well as SAP, Sybase, or ADR experience, as a plus.
