Senior Manager, Derivatives Risk
3 weeks ago
Our esteemed client is a global insurance firm that has significant growth with consistency. They are actively seeking a skilled and experienced risk professional to join their Group ALM and Investment team. In the role of a Derivatives Strategist, you will be a vital contributor to the development and implementation of innovative strategies in derivatives, investments, and liability-driven approaches. If you thrive in collaborative environments and bring expertise in risk management within the insurance industry, we encourage you to apply for this compelling opportunity.
Responsibilities
As a key player, you will collaborate with the Group ALM lead and Chief Investment Officer to devise effective strategies concerning the use of derivatives and assets. Responsibilities include assisting Insurance Business Units in enhancing the management of derivative overlays and formulating strategies to address key exposures within insurance funds. You will lead initiatives to implement derivatives and liability-driven investment strategies, ultimately enhancing risk-adjusted returns on insurance portfolios.
Your role extends to analyzing and proposing improvements to the design and implementation of liability hedging programs. Your expertise will be pivotal in developing strategies for the efficient use of regulatory and economic capital. Collaboration with asset managers is integral, as you'll work closely with them to integrate derivatives and LDI strategies into portfolio management processes.
Additionally, you will contribute to the development and enhancement of frameworks and policies pertaining to governance, monitoring, measurement, and risk management. Your involvement will also encompass working with teams to create tools for monitoring and assessing derivative markets. Infrastructure development, including negotiating ISDA, CSA, and documentation, and setting up processes for collateral management, will be integral to your responsibilities.
Requirements
To qualify for this role, candidates should possess an advanced degree in finance, economics, actuarial science, or a related field. Proven experience in asset and liability management, investment management, and derivatives strategies within the insurance industry is crucial. Strong knowledge of derivative instruments and markets, familiarity with regulatory and economic capital requirements, and excellent communication and collaboration skills are prerequisites. Professional certifications such as CFA, FRM, or Actuarial credentials are advantageous.
To Apply
Please submit your resume to Jun Leong at jn@kerryconsulting.com, quoting the job title and reference number JN28449. We regret that only shortlisted candidates will be notified.
Registration No: R1874438
Licence No: 16S8060
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