P&C Actuary – Portfolio Risk Manager

atMercorRemoteUS flagUnited StatesFreelanceActuaryJuniorMid-level$80/hour

Posted Sep 15

This is a fully remote position, open to applicants in United States.

πŸ“‹ Description

β€’ Develop realistic insurance scenarios that encompass loss costs, rate indications, trends, development, credibility, segmentation, reserving, profitability, capital, catastrophe exposure, and portfolio concentration.

β€’ Conduct pricing analyses, reserve evaluations, portfolio diagnostics, assumption critiques, sensitivity analyses, and deliver management recommendations.

β€’ Produce β€œgolden” reference responses at a high standard of actuarial and portfolio-risk quality.

β€’ Evaluate AI-generated responses against rubrics that assess mathematical accuracy, assumption quality, methodology, interpretation, and communication.

β€’ Detect calculation inaccuracies, unsupported assumptions, improper use of actuarial methods, confusion between correlation and causation, and unfounded recommendations.

β€’ Offer written feedback aimed at enhancing model performance.

β€’ Engage in onboarding office hours and calibration sessions.

β€’ Contribute to projects focused on training and improving advanced AI models.


⛳️ Requirements

β€’ A minimum of 2 years of professional experience in P&C actuarial roles, insurance pricing, reserving, catastrophe modeling, or portfolio risk management.

β€’ Expertise in quantitative analysis utilizing insurance premium, exposure, claim, loss, or reserve data.

β€’ Comprehension of the distinction between account-level underwriting judgment and portfolio-level actuarial analysis.

β€’ Capability to clearly articulate methods, assumptions, limitations, and business implications to both technical and non-technical audiences.

β€’ Strong quantitative reasoning skills, exceptional written communication, and meticulous attention to detail.

β€’ Proficiency with spreadsheets and at least one analytical or statistical tool.

β€’ Bonus: ACAS, FCAS, or active progression toward CAS credentials.

β€’ Bonus: Experience with personal, commercial, specialty, or reinsurance portfolios.

β€’ Bonus: Familiarity with catastrophe modeling, capital modeling, predictive modeling, or rate-filing.

β€’ Bonus: Proficiency in SQL, R, Python, SAS, or actuarial modeling platforms.

β€’ Bonus: Experience in presenting results to underwriting, finance, claims, or executive stakeholders.

β€’ Must be able to commit to a minimum of 20 hours per week, ideally 40+ hours.

β€’ Eligibility to work in one of the specified locations: United States, Canada, United Kingdom, Australia, Austria, Belgium, Germany, Denmark, Finland, Ireland, Malta, Netherlands, Norway, New Zealand, or Sweden is required.

β€’ H1-B and STEM OPT candidates will not be supported.


🏝️ Benefits

β€’ A flat payment of $800 upon the successful completion of the onboarding process.

β€’ Weekly payments via Stripe or Wise based on services rendered.

β€’ Fully remote work with a flexible schedule.

β€’ Opportunities for project durations to be extended, shortened, or concluded early based on needs and performance.

β€’ Collaborate with leading researchers in the field.

β€’ Referral opportunities that offer up to $320 for each successful referral.

β€’ Reasonable accommodations available upon request.

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