riskcarriere.nl

Wtp requires better model risk management

Nieuws
22-10-2024
Erik Kooistra
Erik Kooistra (Probability & Partners): With the introduction of the Future Pensions Act (Wtp), this dependence on models will increase even further, which increases the need for thorough model risk management.

In the pension sector, the dependence on models is considerable. Models help, among other things, in making important strategic decisions, calculating actuarial pension liabilities and conducting ALM analyzes and risk assessment analyses.

With the introduction of the Future Pensions Act (Wtp), this dependence on models will increase even further, which increases the need for thorough model risk management. This is the process by which pension funds manage risks associated with the use of models. Model risk is the risk that a model does not deliver the correct results due to incorrect assumptions, inadequate data, incorrect implementation or incorrect use of the model. For pension funds, this means that strategic decisions may be based on incorrect or distorted information, with potentially far-reaching financial consequences.

The current model risk management framework of the Pension Federation, which was drawn up in 2015 and revised in 2021, provides pension funds with a basis. My question is whether this framework is still sufficient in the new situation, in which the Wtp leads to more complexity of schemes that pension funds have to offer to participants. This changes the objective, size and scope of current models. The vulnerability lies mainly in the new application of existing and new models during the transition.

[....]

Gerelateerde vacatures

Geïnteresseerd in een carrière bij organisaties in ditzelfde vakgebied? Bekijk hieronder de gerelateerde vacatures en vind de perfecte match voor jou!
Pensioenfonds Werk en (Re)Integratie (PWRI)
Marktconform
Medior, Senior
Utrecht
Als Controller/SLA-manager bij PWRI adviseer je bestuur en directie over financiële sturing, risicobeheersing en uitbestedingsmanagement; je beheert en monitort SLA’s, bewaakt doelen, kosten en begroting, coördineert rapportages en jaarverslag en...
ING
4.596 - 7.460
Medior
Amsterdam
As a Market Risk & ALM Specialist at ING, you own and steer part of the balance sheet, manage and hedge interest rate and liquidity risk, model client behaviour, translate...
ASN Bank
7.840 - 10.453
Senior
Utrecht
Als Lead Risk Proces & Control bij ASN Bank stuur je BRM’s en key control testers aan, borg je 1e lijns non-financial risicomanagement in COO (Ops & IT), ontwikkel je...
Top vacature
Assets Only
Marktconform
Medior
Nederland
Als Manager / Senior Risk & Compliance help je organisaties risico's te beheersen volgens COSO ERM en zorg je dat ze voldoen aan wet- en regelgeving. Je fungeert als sparringpartner,...