Risk Analyst
Location: Bangalore, KA, IN
Join us in a pivotal role that sits at the intersection of risk management, regulatory compliance,and strategic decision-making. As our Risk Reporting and Governance Analyst, you'll helptranslate complex solvency data into actionable insights that inform our organization's mostcritical business decisions and ensure our continued financial strength.
About the Role:
This exciting opportunity allows you to develop deep expertise in Group-level solvency and riskreporting while building valuable technical, analytical, and stakeholder management skills.Working within our collaborative Bangalore team, you'll contribute directly to reports and metricsused by senior leadership, gaining visibility into end-to-end Group solvency processes and makinga tangible impact on our risk management framework.
Key Responsibilities:
- Produce and validate quantitative outputs for Group solvency reporting, including SSTratios, movements, sensitivities, and key capital drivers
- Prepare and refine materials for senior management forums (e.g., ALCO, Risk Committee),ensuring accuracy, consistency, and clear narrative
- Analyze and interpret movements in solvency and risk metrics, translating technical resultsinto business-relevant insights
- Execute and document key controls within reporting processes, contributing to our stronggovernance and assurance standards
- Collaborate closely with colleagues in Zurich and across functions to ensure high-quality,aligned Group outputs
- Drive improvement initiatives, including process enhancements, standardization, andefficiency improvements
About the Team:
Solvency Analytics and Insights (SA&I) is a sub-team within Solvency Reporting & Analytics (SR&A), part of Solvency and Financial Risk Management (SFRM). Together with our Bangalore-based SST & Solvency II Aggregation team, we are responsible for delivering Group-level solvency reporting and analytics under the Swiss Solvency Test (SST) and Solvency II. Our work supports senior management, the Board, regulators, and other stakeholders with high-quality risk and capital insights.
The two teams work in close partnership across the end-to-end solvency reporting process. While the Aggregation team leads the production, governance, and delivery of the Group solvency results, SA&I provides an independent analytical review and challenge of those results through scenario analysis, sensitivities, balance sheet and capital assessments, ORSA, stress testing, and plan analysis. Together, we deliver timely, well-controlled, and decision-relevant insights that underpin Swiss Re's capital management and strategic decision-making.
About You:
You're an analytical thinker with a passion for translating complex financial data into meaningfulinsights. You thrive in structured environments where attention to detail matters, yet you can seethe bigger picture of how your work contributes to organizational success. You're comfortableworking across global teams and eager to develop your expertise in solvency and riskframeworks.
We are looking for candidates who meet these requirements:
- University degree in a quantitative field (e.g., mathematics, actuarial science, economics,finance, engineering, or similar)
- At least 5 years of experience in risk management, solvency, actuarial or quantitativeanalytics within insurance, reinsurance or financial services, or a strong quantitativebackground with relevant exposure
- Solid analytical skills and curiosity to understand how solvency and capital metrics areproduced, validated, and explained
- Interest in solvency, capital, and risk frameworks (e.g., SST, Solvency II, or internal capitalmodels) and motivation to deepen this knowledge on the job
- High attention to detail, willingness to learn, and comfort working in a structured andcontrolled reporting environment
These are additional nice to haves:
- Experience with Excel or Power BI
- Exposure to programming tools (e.g., Python, SQL)
- Clear communication skills and confidence in explaining analytical results to differentaudiences
- Experience working in an international, cross-location environment
About Swiss Re
Swiss Re is one of the world’s leading providers of reinsurance, insurance and other forms of insurance-based risk transfer, working to make the world more resilient. We anticipate and manage a wide variety of risks, from natural catastrophes and climate change to cybercrime. We cover both Property & Casualty and Life & Health. Combining experience with creative thinking and cutting-edge expertise, we create new opportunities and solutions for our clients. This is possible thanks to the collaboration of more than 15,000 employees across the world.
Our success depends on our ability to build an inclusive culture encouraging fresh perspectives and innovative thinking. We embrace a workplace where everyone has equal opportunities to thrive and develop professionally regardless of their age, gender, race, ethnicity, gender identity and/or expression, sexual orientation, physical or mental ability, skillset, thought or other characteristics. In our inclusive and flexible environment everyone can bring their authentic selves to work and their passion for sustainability.
If you are an experienced professional returning to the workforce after a career break, we encourage you to apply for open positions that match your skills and experience.
We may use AI-powered tools to support the review and evaluation of applications for this position. These tools provide additional insights to our recruitment teams, but all hiring decisions are carefully reviewed and made by people. To learn more about how we use AI in recruitment and how we handle your personal data, please review our Data Privacy Statement before applying.
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