A leading Insurer is looking for a Capital Management & Investment Manager
Responsibilities
- Collection and review of solvency data of Asia Pacific entities, analysis of the main drivers for past and future deviations
- Preparation of the quarterly Asia Pacific capital management committee presentation
- Prepare supporting material, recommendations and presentations for the Asia Pacific Capital Management Committee and other senior management meetings
- Actively monitor regulatory and capital developments across Asia Pacific
- Analyse Balance Sheets to optimise capital
- Contribute to optimise the investment portfolios (inclusive of internal loans arrangements) from a capital perspective
- Follow up and monitor changes in solvency regulations and assess the impact
- Coordination of the solvency group reporting
- Contributes, provides support and assistance in designing new documentation regarding solvency projections for the purpose of enhancing internal communication with top management at local and regional level.
- Participate in Quantitative Impact Studies (QIS) in view of the implementation of Risk Based Capital (RBC) frameworks
- Monitoring of internal control system (ICS) regarding APAC Investment process