Position Overview
Financial Risk Manager (Investment Risk)
Key Responsibilities:
- Financial risk oversight and control: monitor key risk indicators/risk limit, risk response and control
- Monitor AML/duration risk, including updates agains AML limits
- Investment risk governance: independent checks (middle office trade verification)
- Hedge monitoring: assess hedge proposal and monitor hedge effectiveness, including liquidity
- Support SAA and investment risk review, concentration/credit overlays, and risk reporting for Risk Committee, as well as Invetment committee
Requirements:
- Having more than 10 years experiences in investment risk and ALM Risk monitoring
- Degree in Risk/Actuarial/Math/Statistic/Finance or related
- Experience in solvency (economic model is a plus), stress test and financial projections
- Life insurance experience is preferred, bank...