Sr. Capital & Financial Modeler New New York City
Listed on 2026-08-21
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Finance & Banking
Risk Manager/Analyst, Financial Analyst, Corporate Finance
Sirius Point is a specialty underwriter providing solutions to clients and brokers around the world. Bermuda-headquartered with offices in New York, London, Stockholm and other locations, we are listed on the New York Stock Exchange (SPNT). We have licenses to write Property & Casualty and Accident & Health insurance and reinsurance globally. Our offering and distribution capabilities are strengthened by a portfolio of strategic partnerships with Managing General Agents and program managers.
With $3.8 billion total capital, Sirius Point’s operating companies have a financial strength rating of A from AM Best, Fitch and S&P, and A3 from Moody’s.
Join Our Team
The Senior Capital & Financial Modeler will support the development, maintenance, and analysis of Sirius Point’s capital models and capital management framework. The role will cover regulatory capital reporting, rating agency capital assessments, capital forecasting, stress testing, and strategic capital initiatives across the Group. The successful candidate will partner closely with Finance, Actuarial, Risk Management, Investments, Tax, and Treasury to deliver high-quality capital analytics, translate model outputs into actionable insights, and support business decisions and external stakeholder requirements.
This role requires strong analytical capability, attention to detail, and the ability to communicate complex capital concepts clearly to both technical and non-technical audiences.
This position reports to the Deputy Treasurer, Head of Capital and Ratings Management.
Your responsibilities will include:
Capital Modeling & Analytics
- Maintain and enhance regulatory and rating agency capital models, including S&P Capital Adequacy, AM Best BCAR, Solvency II, Bermuda BSCR, and US RBC.
- Produce quarterly and annual capital calculations, reconciliations, and variance analyses.
- Support capital forecasting and multi-year business planning processes.
- Perform stress testing and scenario analysis to assess capital adequacy under adverse conditions.
- Analyze drivers of capital changes and identify optimization opportunities.
Regulatory & Rating Agency Reporting
- Support quarterly and annual capital submissions to regulators and rating agencies.
- Prepare supporting analytics, management presentations, and documentation.
- Assist with responses to regulator and rating agency information requests.
- Maintain robust controls, documentation, and audit trails for all capital processes.
Strategic Capital Management
- Evaluate capital impacts of:
- Business growth initiatives
- Reinsurance transactions
- M&A opportunities
- Dividend strategies
- Corporate restructuring activities
- Support assessment of capital efficiency and return on capital across business units.
- Assist in development of capital optimization recommendations.
Data, Controls & Process Improvement
- Drive automation and process improvement initiatives to enhance efficiency, controls, and data quality.
- Partner with Finance Transformation teams on system integration and reporting solutions.
- Develop dashboards and analytical tools to improve capital monitoring and decision-making.
- Maintain documentation of methodologies, assumptions, and governance requirements.
Stakeholder Management
- Collaborate with Finance, Actuarial, Risk, Underwriting, Investments, Tax, Treasury, and Liquidity teams to gather, validate, and challenge model inputs.
- Present capital analyses and recommendations to senior management.
- Support preparation of Board, Risk Committee, and Executive Committee materials.
- Serve as a subject matter resource for capital and solvency-related matters.
Your skills and abilities should include:
- Bachelor's degree in Finance, Accounting, Economics, Mathematics, Actuarial Science, Statistics, or related field.
- 7-10 years of experience in insurance, reinsurance, capital management, risk management, treasury, actuarial, or financial analysis.
- Significant hands-on experience building, maintaining, or enhancing insurance capital models across regulatory and rating agency frameworks, including Solvency II, Bermuda BSCR, US RBC, S&P, and AM Best BCAR.
- Translate capital model outputs into actionable insights for senior management, including clear…
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