Partnering with one of the largest Insurers, we are currently sourcing for a Senior Manager/ Manager in Financial Risk.
Reporting to the Lead, you will play a key role in monitoring and managing the financial risks of the assets and products within the group.
You will be working closely with the Finance and Investment teams to monitor, analyse and report risk and performance. You will be required to identify emerging risk and control issues, performing second line risk reviews and developing recommendations to help improve the quality of market and credit risk management in the group.
You will take ownership in contributing to new product and fund risk assessment process to ensure sufficient risk reward payoff considerations are made in new product development and in-force product management; and prepare project-related papers and presentations to Asset Liability Committee and Risk Management Committee where required.
To qualify, you should possess
Degree in Finance, Economics, Accountancy, Quantitative Analysis or relevant degree
At least 5 years in experience in an investment or Financial/Market/Credit Risk-related roles
Knowledge of derivative products and financial risk models will be advantageous
Prior experience using Risk Analytics Systems and knowledge of programming languages such as VBA, SQL and Python preferred but not a must
Please contact Xuan Kwok at +65 6950 0354 or XuanK@charterhouse.com.sg for a confidential discussion
EA License no: 16S8066 | Reg no.: R1433611
Only successful candidates will be notified.