Solvency II SCR Data Service


Streamlining Solvency Capital Requirements (SCR) through a
Data-In Results-Out Service.

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The Problem
  • Solvency II is old news, and insurers have been complying to SCR reporting for a decade. A well-defined and mature regulatory landscape should have streamlined processes, however highly skilled staff at both insurers and asset managers execute manual processes and maintain custom data and modelling solutions.
Why it is needed

For Asset Managers

  • Unlock market opportunities and gain competitive advantage by providing Fund SCRs and capital requirement breakdowns for insurers
  • Improve value-add to existing clients through early model data validation of TPT reports
  • Partner with proven actuarial expertise to support insurance clients
  • Reduce internal cost and effort of maintaining insurance regulation related processes and data

For (Re)Insurers

  • Streamline and modernise Solvency II processes
  • Reduce non-value adding ping pong between Investments,Valuation, Capital and Risk teams
  • Maintain models and data pipelines cost efficiently
  • Reliably accelerate Solvency II working day timetable
  • Free up skilled people to focus on strategic initiatives and innovation

Why our SCR Data Service Delivers With Confidence

For Asset Managers and (Re)Insurers

OUR SOLUTION

  • We simplify solvency processes to a results-when-needed experience
  • You provide your data in and we provide results out as a service
  • We solve complexity by combining actuarial and IT through sound engineering
  • Active senior involvement in delivery ensures quality and care of each and every delivery
  • We have successfully delivered hundreds of reporting cycles without a single reporting deadline missed or audit query raised

THE RESULT

  • Focus on optimising your SCR rather than producing it
  • Free up your teams to deliver more value such as modernisation projects
  • Realise significant cost savings compared to current inhouse model and data maintenance
  • Increase trust in the numbers and timeline through trusted methodologies and robust delivery
  • You retain control over standard or customised models and results with higher speed and flexibility

OUR CAPABILITIES

  • Fits into your process only covering the parts you need
  • Unified data pipeline combining multiple asynchronous data sources
  • Supports and merges direct investment data with collective investments
  • Integrates with data vendors
  • Allows bespoke inputs
  • Standard Formula and custom models
  • Standard and custom stresses and scenarios
  • Reports at asset, portfolio and across multiple portfolio levels
  • Custom actuarial analysis of change (AoC)
  • Robust delivery times
  • Competent customer support
  • Predictable customisation and maintenance cost
  • Expert stakeholder communication across all functions
  • Specialist actuarial and IT skills
  • Work with best-in-class partners to increase value

Trust in our numbers

As a team we are committed to

Best in class Data and Model Governance

Hundreds of production runs spanning almost a decade across multiple clients without a single missed reporting deadline or audit query

Regulatory Compliance

Models fulfilling Solvency regulation accurately and appropriately.

Accuracy

Models, data transformations and workflow that delivers the highest accuracy possible from the quality of the input data with full visibility and impact analysis of missing data points.

Data validation

Highest data quality and integrity through automated checks, manual validations and continuous monitoring

Versioning

Version all financial models, data transformation steps and actual data

Adjustments

Overrides and assumptions where required fully recorded and reported.

Testing

Regression test all changes in models and data transformation steps

Results validation

Solvency reports are checked and validated by data and actuary experts.

Support for Industry Standards

Recognised industry sources and templates pre-configured including TPT, EIOPA inputs, QRT templates and more.


Trust in our numbers

Free your experts from menial tasks

Complex process simplified

You do the stearing, we do the work, you get the results:

31 October, 2025

End of last valuation period

day 0

by the world

Last period has finished and valuation starts.

External data collected after it gets published

day 3

by ERM7

  • EIOPA inputs, inflation rates, EURIBOR and other rates
  • Client fund data
  • Client direct investments

Internal data validation, model runs and initial analysis of results

day 3

by ERM7

Validation, analysis and review of preliminary results if required, client opportunity to provide overrides or adjustments as appropriate

Finish

day 5

by ERM7 and Client

Accurate, complete and appropriate Solvency results delivered to client.

Contact

Drop us a line

If you have any query or need around Solvency II, we would like to offer to you our services. Lets talk, reach us anytime.

People

Our Management

Andries Beukes

Actuarial and Finance

Christo Muller

Business Development

Plamen Stamov

Technology
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