Job description
The ideal candidate will have the ability to multi-task on various assigned projects and to adapt to a fast-paced work environment. We are interested in hearing from graduates who have some previous knowledge of capital/risk management and/or insurance regulation (e.g. Solvency II) and/or accounting standards (IFRS). Ideally you will have the ability to multi-task on various assigned projects and to adapt to a fast-paced work environment.
- Support team manager in the execution and structuring of transactions that optimize the capital and/or earnings profile of our key clients under different regulatory and accounting regimes worldwide.
- Prepare market reviews on clients’ Solvency II and IFRS position
- Prepare marketing material describing various financial solutions to clients
- Coordinate approval of transactions with internal stakeholders and senior management
- Contribute in the development of structured pricing models
- Engage in the peer review of work produced by colleagues
- Prepare draft term sheets with key terms of proposals to clients
- Assist in marketing roadshows across Europe (travel may be required)
- Frequent travel to Paris to work directly with the local Financial Solutions team
- Bachelor’s degree (preferably Actuarial Science, Maths, Finance, Business, Management)
- The candidate should preferably have some knowledge of capital/risk management and/or insurance regulation (e.g. Solvency II) and/or accounting standards (IFRS)
- The candidate should preferably have a first job experience in a consulting, financial, insurance or reinsurance firm
Personal competencies
- Self-motivated
- Ability to work as part of a team
- Good communication skills
- Self-starter
Digital Competencies
- Excel, Word, PowerPoint, Outlook