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Senior Finance Manager - Capital Reporting and Analysis - Aviva


07-13-2011

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We have a newly emerged for managing a team to provide the expertise and capital content in all primary processes for someone Finance Group life insurance and actuarial experience. 

The capital is a key component of MI Group's internal control, planning, forecasting and external reporting process. Two teams within the Finance Group to deliver these processes (external reporting and internal reporting - it consists of forecasting and planning, reporting and MI teams of Capital & Analysis).

The role of this team is to provide a dedicated function within the Capital Finance Group, providing high capital content related to the quality and analysis of all these cycles. This role has primary responsibility for interfacing and working with the group's solvency and the Capital Group team in the delivery of these cycles. 

The current model of support for CFO reporting to the Council level and GEC is growing at a significant rate, with continued and increased requirement for discerning and value-added analysis of financial information. This is an important opportunity to contribute through the development of other leading reports on capital and analysis.

The team of internal reporting is in place an offshore team to support its analytical capabilities. There is a significant opportunity for anyone doing this role to get significantly involved in the development of this team to support the analysis of capital and the related reporting. 

Over the next two years, the team of internal reporting has a significant interest in the development and implementation of Solvency 2 reports, in particular ensure that Solvency 2 is fully integrated in the standard group's internal reporting and decision making. As a team of concentrated capital, this role will play a significant role in this area.

SKILLS AND EXPERIENCE: 
Experience a qualified actuary with life insurance (0-5yrs PQE) Previous experience of financial information in a complex FTSE 100 (or similar) environment, knowledge of best practices and new developments in the same experiments Insurance multinational organizations, including the understanding of life insurance business and excellent product knowledge and related capital metrics in the context of the insurance industry. Ability to influence the direction and communicate complex ideas to an audience in a greater ability to distill a simplistic and communicate large amounts of complex information, both financial and nonfinancial, and express it in terms that give understanding and a sense of belonging to stakeholders and the public focusing on the key elements and assumptions in the data that really Strong knowledge of IFRS and EEV / MCEV and related capital requirements / regulatory / solvency desirable.


Salary: £75000 - £90000

Location : London


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