Job Description
- An excellent opportunity to join a leading global insurance company in the City of London
- You will have experience of working in a similar role in the insurance market
- Previous Property D&F cat risk modelling experience, advanced Excel skills, a sound understanding of a market leading cat risk modelling system (e.g. RMS / AIR), dashboarding software (Power BI, Tableau or Qlik), basic level of Sequel (or alternative), and AI language models (e.g. ChatGBP)
- This role will suit someone who is passionate and confident working with data and looking at the bigger picture
- Strong interpersonal skills - an ability to challenge the status quo and promote change
Key Responsibilities:
- Working within the Open Market Property Team, analysing data sets enabling Underwriters to identify opportunities in the market
- Building out monitoring dashboards and processes working with Underwriters to identify KPIs and insights
- Developing AI-based tools to help improve portfolio optimisation
- Developing relationships with key markets (Brokers, Coverholders and Claims TPAs) with a view of streamlining and enhancing current processes
- Being a key point of contact for internal teams
- Troubleshooting and analysing modelling output from Exposure Management
- Structured and ad hoc portfolio management, including but not limited to; TigerEye, RI Placements, RMS and various internal systems
- Front end liaison with key clients to improve data integrity to build robust standards of information with Third Parties
*Our client is committed to diversity in all of its forms and operates an inclusive recruitment process*