{"version":"0.1","company":{"name":"YubHub","url":"https://yubhub.co","jobsUrl":"https://yubhub.co/jobs/skill/solvency-ii"},"x-facet":{"type":"skill","slug":"solvency-ii","display":"Solvency Ii","count":2},"x-feed-size-limit":100,"x-feed-sort":"enriched_at desc","x-feed-notice":"This feed contains at most 100 jobs (the most recently enriched). For the full corpus, use the paginated /stats/by-facet endpoint or /search.","x-generator":"yubhub-xml-generator","x-rights":"Free to redistribute with attribution: \"Data by YubHub (https://yubhub.co)\"","x-schema":"Each entry in `jobs` follows https://schema.org/JobPosting. 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Your expertise will drive the selection and rigorous resolution of complex risk-related problems, including market risk modeling, credit and counterparty risk, liquidity and funding risk, operational and model risk, stress testing &amp; scenario analysis, Value at Risk (VaR)/Expected Shortfall (ES), risk attribution, capital allocation (economic/regulatory), and enterprise-wide risk frameworks under regulatory regimes (Basel, Dodd-Frank, IFRS 9, etc.).</p>\n<p>This role requires exceptional quantitative rigor, rapid adaptation to evolving guidelines, and the ability to deliver precise, technically sound critiques, derivations, and solutions in a fast-paced environment. As a Finance Risk Expert, you will directly support xAI&#39;s mission by helping train and refine frontier AI models. You will teach the models how risk professionals quantify uncertainties, model tail events, assess portfolio vulnerabilities, ensure regulatory compliance, perform stress testing, and make data-driven decisions to protect capital and maintain financial stability.</p>\n<p>Your tasks may include recording audio walkthroughs of risk models, participating in video-based scenario reasoning, or producing detailed quantitative risk analysis traces. All outputs are considered work-for-hire and owned by xAI.</p>\n<p>Responsibilities:</p>\n<ul>\n<li>Use proprietary annotation and evaluation software to deliver accurate labels, rankings, critiques, and comprehensive solutions on assigned projects</li>\n<li>Consistently produce high-quality, curated data that adheres to strict quantitative and regulatory standards</li>\n<li>Collaborate with engineers and researchers to develop and iterate on new training tasks, risk-specific benchmarks, and evaluation frameworks</li>\n<li>Provide constructive feedback to improve the efficiency, precision, and usability of annotation and data-collection tools</li>\n<li>Select and solve challenging problems from financial risk domains where you have deep expertise</li>\n</ul>\n<p>Basic Qualifications:</p>\n<ul>\n<li>Master’s or PhD in a quantitative discipline: Quantitative Finance, Financial Engineering, Financial Mathematics, Statistics, Applied Mathematics, Econometrics, Risk Management, Operations Research, Physics, Computer Science (with risk/finance focus), or closely related field or equivalent professional experience as a quantitative risk analyst, risk modeler, or risk quant</li>\n<li>Excellent written and verbal English communication (technical reports, regulatory documentation, explanatory breakdowns)</li>\n<li>Strong familiarity with financial risk data sources and platforms (Bloomberg, Refinitiv, Moody’s Analytics, S&amp;P Capital IQ, RiskMetrics, internal bank risk systems, regulatory filings, Basel/FRB datasets, etc.)</li>\n<li>Exceptional analytical reasoning, attention to detail, and ability to exercise sound judgment with incomplete or ambiguous data</li>\n</ul>\n<p>Preferred Skills and Experience:</p>\n<ul>\n<li>Professional experience in quantitative risk management, model development/validation, or risk analytics at a bank, hedge fund, asset manager, insurance company, regulator, or consulting firm</li>\n<li>Track record of publication(s) or contributions in refereed journals/conferences on risk, econometrics, statistics, or quantitative finance</li>\n<li>Prior teaching, mentoring, or training experience (university, industry workshops, regulatory training)</li>\n<li>Proficiency in Python/R for risk modeling (pandas, NumPy, SciPy, statsmodels, QuantLib, PyTorch/TensorFlow for ML risk models, etc.) and familiarity with risk systems (Murex, Calypso, Numerix, etc.)</li>\n<li>Experience with Monte Carlo simulation, copula models, stochastic processes, time-series analysis, extreme value theory, or machine learning for risk (anomaly detection, credit scoring, etc.)</li>\n<li>Knowledge of regulatory capital frameworks (Basel III/IV, FRB CCAR, SR 11-7 model risk guidance, IFRS 9/CECL, Solvency II)</li>\n<li>CFA, FRM, PRM, CQF, or similar risk-focused certifications</li>\n<li>Previous exposure to large language models, AI safety, or quantitative evaluation pipelines</li>\n</ul>\n<p>Location and Other Expectations:</p>\n<ul>\n<li>Tutor roles may be offered as full-time, part-time, or contractor positions, depending on role needs and candidate fit</li>\n<li>For contractor positions, hours will vary widely based on project scope and contractor availability, with no fixed commitments required</li>\n<li>Tutor roles may be performed remotely from any location worldwide, subject to legal eligibility, time-zone compatibility, and role specific needs</li>\n<li>For US based candidates, please note we are unable to hire in the states of Wyoming and Illinois at this time</li>\n<li>We are unable to provide visa sponsorship</li>\n<li>For those who will be working from a personal device, your computer must meet xAI’s minimum hardware requirements</li>\n</ul>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a 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pipelines"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_ebef851a-1c2"},"title":"Business Analyst General Insurance Regulatory, Finance & Accounting","description":"<p>We are seeking a highly skilled Business Analyst with deep expertise in insurance finance, regulatory compliance, and accounting standards. This role will support strategic initiatives including M&amp;A due diligence, IFRS 17 implementation, risk management, and financial reporting across multiple insurance lines.</p>\n<p>This role involves analysing business and regulatory requirements to ensure compliance with local and international insurance regulations. You will assist in the preparation of financial reports, ensuring accuracy and timeliness in delivery. Your contributions will support the implementation of regulatory frameworks and promote the establishment of best practices across financial reporting processes.</p>\n<p>Our client is one of the largest insurance companies globally, known for its scale and commitment to excellence.</p>\n<p><strong>Key Responsibilities:</strong></p>\n<p><strong>M&amp;A Due Diligence &amp; Audits</strong></p>\n<ul>\n<li>Lead financial due diligence for insurance acquisitions and strategic partnerships.</li>\n<li>Manage large-scale on-site and remote audits, evaluating underwriting performance, claims reserves, and financial stability.</li>\n</ul>\n<p><strong>Accounting &amp; IFRS (Including IFRS 17)</strong></p>\n<ul>\n<li>Oversee implementation and compliance with IFRS 17 and related standards for statutory reporting.</li>\n<li>Identify and optimise accounting processes to ensure efficient booking flows and reduce manual interventions.</li>\n</ul>\n<p><strong>Risk Management &amp; GRC (Insurance-Focused)</strong></p>\n<ul>\n<li>Develop and refine Governance, Risk, and Compliance (GRC) frameworks aligned with regulatory bodies such as Solvency II.</li>\n<li>Monitor risk exposure across underwriting portfolios, claims, and reinsurance contracts.</li>\n</ul>\n<p><strong>Controlling &amp; Reporting</strong></p>\n<ul>\n<li>Supervise budgeting, forecasting, and variance analysis across Life, Non-Life, and Reinsurance lines.</li>\n<li>Design and deliver executive dashboards to communicate financial performance, claims ratios, and reserve adequacy.</li>\n</ul>\n<p><strong>Requirements</strong></p>\n<p><strong>Qualifications:</strong></p>\n<ul>\n<li>Financial Expertise</li>\n</ul>\n<p>+ Proven experience in financial due diligence, audits, IFRS compliance, and controlling within the insurance sector. \t+ Strong understanding of Solvency II, capital adequacy, and risk modeling.</p>\n<ul>\n<li>Analytical Tools &amp; BI</li>\n</ul>\n<p>+ Hands-on experience with BigQuery or similar data platforms. \t+ Proficiency in dashboard creation tools (e.g., Power BI, Tableau) to generate actionable insights.</p>\n<ul>\n<li>Project Management &amp; Leadership</li>\n</ul>\n<p>+ Demonstrated success in managing cross-functional teams and facilitating stakeholder workshops. \t+ Strong report writing, presentation, and communication skills.</p>\n<ul>\n<li>Professional Qualifications</li>\n</ul>\n<p>+ CFA (completed or in progress); certifications such as CERA or other insurance risk credentials are a plus. \t+ Deep knowledge of IFRS 17 and Solvency II frameworks</p>\n<p><strong>Benefits</strong></p>\n<p>Competitive compensation and benefits package:</p>\n<ol>\n<li>Competitive salary and performance-based bonuses</li>\n<li>Comprehensive benefits package</li>\n<li>Career development and training opportunities</li>\n<li>Flexible work arrangements (remote and/or office-based)</li>\n<li>Dynamic and inclusive work culture within a globally renowned group</li>\n<li>Private Health Insurance</li>\n<li>Retirement Benefits</li>\n<li>Paid Time Off</li>\n<li>Training &amp; Development</li>\n<li>Performance Bonus</li>\n</ol>\n<p>Note: Benefits differ based on employee level.</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_ebef851a-1c2","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Capgemini","sameAs":"https://jobs.workable.com","logo":"https://logos.yubhub.co/view.com.png"},"x-apply-url":"https://jobs.workable.com/view/uC8facTYemmRU2c3oGWdsG/business-analyst-general-insurance-regulatory%2C-finance-%26-accounting-in-pune-at-capgemini","x-work-arrangement":"onsite","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["Financial due diligence","Audits","IFRS compliance","Controlling","Solvency II","Capital adequacy","Risk modeling","BigQuery","Power BI","Tableau","Project management","Leadership","CFA","CERA","IFRS 17","Solvency II"],"x-skills-preferred":[],"datePosted":"2026-03-09T16:58:14.840Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Pune, Maharashtra, India"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Finance","skills":"Financial due diligence, Audits, IFRS compliance, Controlling, Solvency II, Capital adequacy, Risk modeling, BigQuery, Power BI, Tableau, Project management, Leadership, CFA, CERA, IFRS 17, Solvency II"}]}