P&C Risk Analyst
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AXA GRM brings together high level and multidisciplinary staff with engineers, actuaries and financials split between Paris, Zürich and Madrid.

Its main missions are focused on the following key areas :

  • Analyze, model and aggregate the Group’s risks (economic capital);
  • Define the process enabling to limit the undertaken risks (risk appetite, assets accumulation, longevity, natural catastrophe...);
  • Optimize the Group protections (reinsurance, securitization, hedging, etc.).
  • Primary mission : In the P&C risk area, focused on Solvency 2 process and use test the missions consist in :

  • Being the Group referent for several AXA entities considering the Solvency 2 process
  • Challenging entity capital requirement calculation and results
  • Supporting entities in their modelling improvement
  • Ensuring Solvency 2 framework validation is adequately performed
  • Defining new P&C risk methodologies and / or improve existing methodologies : then conduct working groups and projects involving entities and other Group departments
  • Performing profitability studies for new products launched by the entities using the Economic Combined Ratio
  • Present studies, conclusions to senior management, auditors, supervisors
  • Qualifications

    Technical and professional skills :

  • Fluent in English
  • IT skills : R, Remetrica is a plus
  • Soft skills and competencies :

  • Ability to manage projects and challenge conclusions
  • Organization and analytical skills
  • Communication skills : with the entities, the technician community, senior management
  • Team spirit and team working
  • Background and experience :

  • Master’s Degree with a background in actuarial science or mathematics / statistics or engineering
  • 2 to 6 years of successful experience in P&C (risk management, technical department or actuarial consultant)
  • What We Offer.

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