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Experienced Actuary in Insurance

Remote / Online - Candidates ideally in
1000, Brussels, Bruxelles-Capitale, Belgium
Listing for: Sander Brussels
Remote/Work from Home position
Listed on 2026-05-28
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Actuary, Financial Analyst, Financial Consultant
  • Insurance
    Risk Manager/Analyst, Actuary, Financial Analyst
Job Description & How to Apply Below
For one of our clients based in Brussels, we are currently looking for a  Medior Actuary to join the Risk department.

Our client is a well-established company active in the insurance and financial services sector.

This opportunity is ideal for a professional with a first solid experience in actuarial or risk-related functions who is looking to develop further in a dynamic environment with strong exposure to solvency, regulatory and risk management topics.

Your role

As part of the Risk team, you will contribute to actuarial analyses and support the monitoring of key topics related to technical provisions, solvency and risk management.

You will work closely with various internal stakeholders and contribute to ensuring the robustness of models, assumptions and methodologies used across the organization.

Your responsibilities will include topics such as:

technical provisions,
solvency and capital analysis,
regulatory reporting,
risk management,
and prudential framework developments

Actuarial analysis & controls

Participate in actuarial valuation and technical analysis activities
Support the review and validation of calculations, models and assumptions
Contribute to the improvement of actuarial methodologies and processes
Prepare analyses and reporting for management and Risk teams

Solvency & risk management

Contribute to Solvency II and capital-related exercises
Participate in risk assessments and projection exercises
Collaborate with Risk and Finance teams on prudential topics
Support the monitoring of solvency and risk indicators

Cross-functional collaboration

Work closely with different departments including Risk, Finance, Business and Audit
Participate in transversal projects linked to regulatory or methodological changes
Contribute to knowledge sharing and continuous improvement within the team

Education & experience

Master's degree in Actuarial Science, Mathematics, Economics or a related field
Relevant experience in actuarial, risk or insurance-related functions
Good understanding of actuarial and prudential topics
Knowledge of Solvency II is considered an asset

Languages

Good command of French and/or Dutch
Professional level of English

Soft skills

Strong analytical mindset and attention to detail
Good communication and presentation skills
Team player with a collaborative attitude
Proactive and eager to learn
Comfortable working in a fast-evolving and regulated environment

An evolving role with exposure to strategic topics
A collaborative and stimulating working environment
Permanent contract
Flexible and hybrid working policy
Attractive salary package ranging from  45k to 70k gross annually depending on level of experience
Including additional benefits such as:
insurance coverage,
company car
meal vouchers,
flexible compensation plan,
remote working possibilities,
additional extra-legal benefits.

Attention to detail, Actuarial Valuation, Technical analysis, Projection, Communication, Risk Analysis, Cross Functionality, Knowledge Transfer, Presentation Skills, Business, Audit, Actuarial science, Economy, Asset, Validation, Finance, Projects, Monitoring, Actuarial, Risk Management, Risk Management, Proactivity, Solvency II, Calculation, Insurance, Reporting, Methodology, Analysis, Mathematics
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