Technical requirements:
1) Managing timely submission of annual statutory reports
2) Managing monthly valuation and reserves movement analysis
3) Managing valuation related queries and audits
4) Determination and movement analysis of solvency margin
5) Performing analysis of surplus for statutory and management reporting
6) Experience investigation and setting assumptions
7) Preparation of Financial Condition Report
8) Ensuring complete documentation of valuation related processes and changes
9) Monitoring model testing and its documentation for valuation purposes
10) Managing the reinsurance treaties and liaisoning with the reinsurer
11) Training and guiding subordinates
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