Solvency II and Capital Analyst

Job Details

Gibraltar, Gibraltar Salary: Plus benefits
Sector: Accounting & Finance, Insurance Industry Type: Permanent
Start Date: ASAP Contact: Angelique Pearson

Solvency II and Capital Analyst | Insurance Sector | Salary c£Market rate plus Benefits Package | Gibraltar | EU applicants may only apply

SRGEurope has been appointed to recruit for a specialist Solvency II and Capital Analyst Expert for a leading Insurance company with a base in Gibraltar. The Solvency II and Capital Analyst role will be to provide solvency and capital modelling and advisory services to client companies and liaise with external bodies regarding client companies' standard models. The Solvency II and Capital Analyst will be working as part of a small, lean and experienced team with an entrepreneurial spirit, so strong communication and interpersonal skills are essential.

Solvency II and Capital Analyst responsibilities:

  • Completing the standard model for client companies
  • Producing the solvency II balance sheet, SCR and MCR for client companies
  • Determining/advising on standard model inputs and assumptions (e.g. natural catastrophe template)
  • Producing SII Pillar 1 reporting for client Boards
  • Advising client Boards on capital implications of business decisions (e.g. investments)
  • Liaising with clients' internal actuarial function regarding the standard model
  • Liaising with clients' risk management function regarding completion of the Own Risk and Solvency Assessment, and in particular modelling stress and scenario tests
  • Providing capital and solvency modelling for business planning purposes
  • Providing SII Pillar 1 information for the Pillar 3 reporting (both QRTs and narrative RSR/SFCR)
  • Completing any other Pillar 1 regulatory reporting (e.g. ad hoc requests for information)
  • Liaising with the Regulator on Pillar 1 queries and matters
  • Liaising with any other external bodies regarding clients' standard models (e.g. auditors)

Solvency II and Capital Analyst requirements:

  • At least 2 years' experience of completing the SII standard model
  • At least 2 years' experience of capital modelling using the SII standard model
  • Experience of interpreting SII legislation and regulations
  • Experience of working in a client-facing environment an advantage
  • Excellent knowledge of the SII standard model
  • Excellent understanding of insurance accounts
  • Understanding of insurance risk mitigation techniques (e.g. reinsurance), and how impact the standard model
  • Excellent knowledge of MS Office, particularly Excel
  • Highly numerate, ideally with a financial mathematics background
  • Ability to explain complex concepts in layman's terms
  • Ability to interpret legislation and regulations
  • Good time management and organisation skills, with the ability to meet tight deadlines

Company Description:

Our client is a household name in the Insurance Industry and has a reputation for providing truly enhancing career opportunities. Their employees are characterized by their desire to succeed, team spirit and high energy. Their professionalism is of the highest order.

Do you have what it takes to fulfil this role?

Please click on the 'apply' button and upload your CV or alternatively contact Angelique Pearson, Recruitment Consultant on 00350 200 69999 or e-mail

Insurance | Solvency II | Capital analyst | SCR | SAP | MCR | Capital Modelling | Pillar 3 | Reinsurance