about the company
Our client is a renowned global life insurer. They are looking for a Financial Risk Manager to support the Risk Management department to perform risk analysis and enhance the company's Model Risk Management.
about the job
- Work with the team and different departments to carry out the annual ORSA exercise, stress test scenarios, analysis and Asset-Liability Management (ALM) strategies and activities.
- Develop the quantitative risk appetite, review and set limits against solvency and other risk appetite dimensions
- Review the Matching Adjustment portfolio management and computation
- Maintain and enhance the Capital Management & Recovery Plan and Company’s Model Risk Management
- Monitor insurance and financial risk exposure using tools such as key risk indicators
- Propose and implement new financial risk policies, practices and solutions
- Support the CRO in the yearly business planning & other initiatives
about the manager/team
This role reports to the Chief Risk Officer.
skills and experience required
• At least 7 years’ experience in the financial/insurance industry with experience in financial risk management
...
• Understanding of financial risk areas and associated regulatory requirements
• Good knowledge of asset and liability valuation, including stress testing and sensitivity analysis
• Strong Excel skills and VBA skills would be advantageous
• Competent knowledge in Prophet preferred
• Big 4 insurance auditors may apply
To apply online please use the 'apply' function, alternatively you may contact at .
(EA: 94C3609/ )