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Manager Balance Sheet Management

FULL TIME
Experience: 6 years
On-site
Open until filled
👤 Posted by Azam Rafique
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  • For postal application within Pakistan: Additional PKR 300
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Do you want to make an impact on the solvency and capital position at leading insurers and asset managers? Are you looking for a manager role in which you concretely translate ALM expertise, capital management, and climate risk into advice and models? In this role at Risk Modeling Services (RMS), you work on issues with direct impact: from balance sheet optimization and reinsurance to scenario analysis for climate risk. You work together with specialists within PwC, receive coaching that accelerates your growth, and combine in-depth content with client contact. You visibly contribute to strategic choices at leading financial institutions and build your profile in an environment where mutual learning is central. This is what you will do: You are part of an inclusive team and work on challenging and meaningful client assignments where your expertise counts. You use the latest technology, including data and modeling tools. We encourage knowledge sharing and offer targeted coaching, so you continue to grow and together we make an impact. Your base is Amsterdam or Rotterdam and you work hybrid. As Manager Balance Sheet Management, you lead projects at the intersection of ALM, capital management, and regulation. You advise clients on capital optimization and solvency, translate policy into models and reports, and ensure quality in execution. You connect RMS expertise with sector developments such as IFRS 17 and climate risk, and work closely with colleagues from other teams to achieve the best solution. Furthermore, you will be responsible for: Strategic advice on capital optimization, risk management, and solvency issues (Solvency II). Modeling, valuing, and validating (risk) capital and ALM models. Preparing and advising on ORSA, SFCR, VCP, and capital generation models (OCG). Advice on reinsurance solutions and effects of capital market instruments. Further development of climate risk and ESG scenarios and translation into risk modeling.

Eligibility / Qualification Required:

  • You are people-oriented and collaborative, communicate clearly, and take initiative. You work purposefully, can prioritize, and inspire teams and clients with content and results. You have:
  • In-depth knowledge of Solvency II and reports (ORSA, SFCR) and capital frameworks.
  • Experience with ALM and capital models; validation and model governance.
  • Modeling of actuarial and market risks; scenario and stress testing frameworks.
  • Insight into reinsurance and capital market solutions and their impact on solvency.
  • Experience with tools and methods such as Python/R, actuarial cash flow models, and IFRS 17.

General Conditions:

No specific general conditions regarding application process, TA/DA, or document submission were provided in the job description.

How to Apply:

  • Are you interested in this vacancy? Let us know what motivates you and fill in your details.
  • After your application, you will immediately receive a confirmation in your inbox.
  • If your qualifications match our desired profile, we will contact you within two weeks for a short introductory meeting.
  • Would you like more information about the position at PwC? That's possible! Karolien is happy to assist you by phone, email or WhatsApp.
  • Karolien Arp: karolien.arp@pwc.com; 06 48 448 922
View Official Posting & Apply

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