Eli Greenblum FCA MAAA FSA EA

Senior Vice President & Actuary, Segal Consulting

Contact Information

Segal Consulting
1800 M Street NW
Suite 900-S
Washington, DC 20036-5802
US
Phone
202-833-6480
Fax
202-833-6490
Email
egreenblum@segalco.com
Mr. Greenblum is a Senior Vice President and Chief Actuary for Segal. Based in Segal’s Washington, DC office, he has overall responsibility for Segal’s Actuarial practice, coordinating the activities of the Office of the Chief Actuary and chairing the Company’s National Actuarial Policy Committee. He has over 30 years of managerial and actuarial consulting experience serving multiemployer, single employer and public sector clients. In addition to his consulting activities, performing actuarial valuations on behalf of plan sponsors, and implementing PPA’06 multiemployer certification/remedial plan efforts, Eli also works to navigate retirement plan issues with labor and management representatives engaged in the collective bargaining process. He served as Vice President (Pension) and Chair of the Pension Practice Council for the American Academy of Actuaries (AAA) and is former Chair of the AAA Multiemployer Plans Subcommittee. He played an active role in pension reform efforts that led to passage of the Pension Protection Act of 2006 and subsequent multiemployer relief legislation.

CCA Member Since 2001

Board of Directors

506 - Multiemployer Pension Reform Act (MPRA) Evolution: Benefit Suspension Experiences 2019 Enrolled Actuaries Meeting (April 09, 2019)

Keys to a Successful SoB Application 2018 CCA Annual Meeting (October 23, 2018)

Dialogue With and Update From the PBGC for Multiemployer Plans 2018 Enrolled Actuaries Meeting (April 09, 2018)

Multiemployer Pension Reform Act Partitions, Suspensions, Guidance, and Applicant's Experience 2018 Enrolled Actuaries Meeting (April 09, 2018)

Embracing Rejection: SOB Letters 2017 CCA Annual Meeting (October 25, 2017)

Multiemployer Solvency Projections 2017 Enrolled Actuaries Meeting (April 04, 2017)

Dialogue with and Update from the PBGC for Multiemployer Plans 2017 Enrolled Actuaries Meeting (April 03, 2017)

Discount Rates: Long-Term Funding <> Withdrawal Liability? 2016 CCA Annual Meeting (October 24, 2016)

Are There Any Guarantees in Life? 2016 Enrolled Actuaries Meeting (April 11, 2016)

2016 Professional Standards Seminar 2016 Professional Standards Seminar (April 10, 2016)

MPRA Part II: PBGC and Remediation 2015 CCA Annual Meeting (October 26, 2015)

2014 Pension Symposium 2014 Pension Symposium: Retirement Security in the U.S. (March 26, 2014)

2013 Pension Symposium: Outlook for Private Sector Pension Funding 2013 Pension Symposium: Outlook for Private Sector Pension Funding (April 10, 2013)

Dialogue with the Academy Pension Practice Council Leaders 2013 Enrolled Actuaries Meeting (April 08, 2013)

PPA and WRERA Issues for Multiemployer Plans 2010 Enrolled Actuaries Meeting (April 12, 2010)

PPA for Multiemployer - Advanced 2009 Enrolled Actuaries Meeting (March 31, 2009)

Disclaimer

The Conference of Consulting Actuaries (CCA) serves only as a clearinghouse for providing a list of its members and their specific areas of practice. The information appearing with each members name regarding their practice areas was furnished by the member and has not been independently verified in any way by the CCA. Neither the CCA nor its officers, members, or staff make any warranties or representations as to the professional competency of these individuals. Each person who is considering the use of the services of an actuary listed is advised to make an independent judgment regarding their choice of persons whose services they wish to utilize.