Capital & Risk Analyst

Aviva

Warsaw, Poland
Solvency ii internal model
Capital reporting and insight
Solvency ii surplus analysis
You will contribute directly to capital reporting and insight, providing the analysis that underpins capital management decisions

Job Summary

  • You will contribute directly to capital reporting and insight, providing the analysis that underpins capital management decisions.
  • The role involves calculation of Solvency Capital Requirement (SCR) and analysis of Solvency II surplus for Aviva Group and AII Mixer.
  • Aviva offers a hybrid working model, attractive office location, and a comprehensive benefits package including performance bonus and wellbeing leave.

Matching Summary

You will contribute directly to capital reporting and insight, providing the analysis that underpins capital management decisions.

Skills & Requirements

Must-have

  • Solvency II Internal Model
  • Capital reporting and insight
  • Solvency II surplus analysis
  • Solvency II Sensitivities calculation
  • Stress and Scenario Testing

Nice-to-have

  • Analytical excellence
  • Forward-looking risk insight
  • Diversity and inclusion
  • Work environment promoting diversity

Key Requirements

  • University degree in science
  • Knowledge of Solvency II principles
  • Very good knowledge of Excel and VBA
  • Knowledge of English

Work Rights

Not specified

Tailored Resume

Cover Letter