Reporting directly to the Chief Risk Officer (CRO), the role involves Capital & Risk Modelling and supporting management in the task of early identification, recognition, initiation of control measures.Category: RiskType: PermanentKey Duties (Including but not limited to):Drive the Closing Activities: Support in the Company’s Solvency II Risk Capital calculation and reporting process, including insightful analysis and clear presentation of results to key stakeholdersContribute to Internal Model Development: Participate in the development, analysis, and maintenance of the internal model within the Company, supporting its application and ongoing refinementLead Strategic Risk Analysis: Conduct impactful ad-hoc risk analysis for M&A activities, providing thorough due diligence and integration assessments that shape strategic decisionsHold an actuarial degree and/or a master’s degree in mathematics or a closely related field, showcasing a strong foundation in quantitative disciplineFluent in English, German language is an advantage with additional language skills considered an assetPossess over 5 years of substantial work experience in insurance, reinsurance, or consultancy, demonstrating a deep understanding of industry practices and challengesExhibit comprehensive knowledge of Solvency II or possess significant experience in quantitative risk management, risk controlling, risk reporting, risk analytics, capital modeling, or actuarial work, preferably within the insurance sector or a Solvency II Internal Model entity #J-18808-Ljbffr