Arch

Capital Planning and Analysis Manager

US-NC-Greensboro
Job ID
2017-1453
# of Openings
1
Category
Treasury

Overview

The Capital Planning and Analysis Manager will develop and maintain capital planning and analysis tools for Arch US MI, supporting the treasury function and all goals and objectives of the team. He/She will run analytical modelling processes to ensure appropriate capital and liquidity is maintained at each operating company as well as scenario analyses to meet various internal and external reporting requirements.  Additionally, this position will act as a subject matter expert for all aspects of capital and reinsurance and represent treasury at various internal meetings.  Lastly, this role will liaise with contacts, both within USMI and the broader Arch group to collaborate on any matters related to capital and reinsurance.

 

 

Arch MI is a new and growing mortgage insurance company with a strong and global parent – Arch Capital Group Ltd.  If you’re interested in joining a dynamic company and working with a team of motivated, high caliber people, apply today and come grow with us!

Responsibilities

  1. Provides analytical support to the production of competitor and marketplace research.
  2. Prepare regular and ad-hoc reporting materials for various stakeholders, internal and external, including board of directors, internal committees, regulators and customers.
  3. Develop analytical tools and reports to identify trends and developments that impact the current and future capital requirements of each operating company including economic indicators and internal performance metrics.
  4. Maintain and report internal dividend and contribution plans and coordinate all materials pertaining to execution. Maintains all records relating to capital actions and support. Monitors and reports on current capital metrics and trends for each entity.
  5. Supports all project related activity for Treasury - providing analytical, research and planning support.
  6. Analytical modelling of capital and liquidity requirements at each legal entity against various standards including Statutory Capital, PMIERs (GSE requirements) and rating agency model outputs.
  7. Collaborate with FP&A, Accounting and Actuarial to maintain capital projections under various scenarios across multiple entities and over varying time horizons.
  8. Take responsibility for short and long term cash forecasts: daily over 30 days; monthly/quarterly over 12-24 months. Develops cash flow analysis tools to improve cash metrics and management.
  9. Support the ownership of governance initiatives in conjunction with Treasury and ERM, and provide regular reporting to identify areas of non-compliance or potential violation and remedy accordingly.
  10. Support all capital activity in relation to reinsurance including monitoring the value and performance of existing contracts, modelling the impact of reinsurance alternatives. Monitors and reviews performance Vs collateral obligations.

 

 

 

Qualifications

  1. Detailed understanding of capital planning, corporate finance, forecasting, investment concepts, practices and methods.
  2. Strong analytical, problem solving, decision-making, strategic thinking, and planning skills. High level of accuracy and attention to detail.
  3. Advanced financial, statistical, and quantitative modeling skills.
  4. Ability to take initiative, collaborate and lead.
  5. Strong business acumen and ability to see the big picture.
  6. Excellent communication (written/verbal), interpersonal, and presentation skills to effectively interface with and influence internal/external contacts.
  7. Project and vendor management skills.
  8. Advanced proficiency with MS Office, especially Excel.

 

Education & Experience:

 

Required experience would typically be acquired through a BA in finance or related fields and 5-8 years Corporate Treasury or related experience, or a graduate degree plus 3-5 years experience. Certified Treasury Professional (CTP), CPA, and/or CFA highly beneficial.

 

 

About Our Company

Arch Mortgage Insurance Company is the flagship U.S.-based mortgage insurer of Arch Capital Group Ltd., a leading insurance and reinsurance company operating through its subsidiaries worldwide. Based in Greensboro, North Carolina, our company is committed to our employees and our customers.  Our Total Rewards package offers competitive pay and valuable benefits.  Plus you’ll have access to a variety of programs supporting your professional development and a culture that encourages innovation, collaboration and professional growth.

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