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Job Description

  • Assess, analyse, monitor, report and mitigate risks across the entire organization.
  • Support and strengthen the risk management framework.
  • Work with related functions in analysing the risk exposures and assess the adequacy of current risk limits.
  • Work on the asset liability management.
  • Assist the planning process with the internal economic capital model and the regulatory and rating agency capital models for risk/return analytics, capital allocation, and portfolio optimization.
  • Support the increased risk reporting requirements to different stakeholders.
  • Support the mandate of the regional risk analytics team and take project leads as necessary.

Job Requirements:

  • A degree in actuarial science, risk management, or other appropriate fields.
  • Qualified actuary (FSA, FCAS, FIA or FIAA) or Certification in Risk Management is an advantage.
  • Minimum 5 years of actuarial, risk management or finance experience in insurance industry, life insurance experience is highly preferred.
  • Knowledge of the insurance industry, including insurance products, risk management (financial and credit risk), financial reporting and compliance.
  • Knowledge in MCEV or Solvency II, economic capital and risk-based capital frameworks is an advantage.
If you are interested in this role, please apply below or contact me for more information.