Job Description
Inviting applications for the role of Senior Manager, Capital Regime!
In this role, The Senior Manager is a leadership role responsible for end-to-end oversight of capital regime process, with a focus on analysis and monitoring implementation.
This role provides strategic direction, ensures delivery excellence, drives quality assurance, manages multi location teams, and serves as the senior offshore interface for client stakeholders.
Senior Managers own delivery governance, escalate key risks, guide the design and enhancement of regulatory reporting processes, and ensure the consistency and integrity of outputs across all regulatory related engagements. The role requires deep subject matter expertise, stakeholder leadership, and strong operational management capability.
Responsibilities
Lead and own the capital regime function with accountability for end-to-end Solvency II capital delivery.
Provide strategic oversight of quarterly SCR calculations, capital governance and regulatory compliance.
Approve capital methodologies, assumptions, aggregation approaches, and control frameworks.
Serve as senior point of contact for regulators, auditors and Boards on capital matters.
Oversee preparation and final sign-off of capital-related QRTs, SFCR inputs, and Board reporting materials.
Guide escalation and resolution of material capital risks and emerging issues.
Ensure robustness of audit trails, documentation standards, and regulatory defensibility.
Drive continuous improvement initiatives including automation, process optimization and technology enhancements.
Build and develop high-performing teams through coaching, performance management and capability building.
Qualifications we seek in you!
Minimum Qualifications
Bachelor's or master's degree in Actuarial Science, Finance, Economics, or related fields.
Professional certifications such as Actuary, FRM, CFA or MBA preferred (not mandatory but strongly valued).
Demonstrated experience engaging at Board and regulatory level on capital matters.
Preferred Qualifications/ Skills
Experience in:
Solvency II Directive and Delegated Acts
SCR calculations and regulatory submissions
Risk & Compliance
Ability to assess, and improve regulatory processes across the organization
Proficient in preparing process narratives, and highquality working papers.
Strong analytical abilities with the capability to interpret complex evidence and identify root causes.
Excellent written and verbal communication, including report writing and issue drafting.
Ability to work on multiple assignments simultaneously and manage deadlines in a global delivery model.
Proficiency in MS Office (Excel, Word, PowerPoint), and familiarity with Reporting tools - PowerBI etc, GRC tools, Regulatory reporting platforms (Wolters Kluwers, Axiom etc) or workflow systems.
Deep expertise in insurance regulatory frameworks and supervisory expectations