Description
I am currently recruiting a Senior Financial Risk Manager. The opportunity is located inNew York Citywith a global financial institution.This individual's will lead a team of risk managers and report directly to the Chief Risk Officer of the private investment group to support the development, implementation and improvement of financial risk framework across the business.
Professional responsibilities include:
- Develop and maintain comprehensive risk management program and capabilities for the retail Annuities and Guaranteed Products businesses as it applies primarily to capital markets, Asset Liability Management and longevity risks.
- Assist in analysis of, and recommend changes to, risk mitigation and hedging programs for financial risks such as interest rate, equity market, credit, capital and mortality/longevity.
- Develop and review risk analytics via risk dashboards, key risk indicators and trend analysis to support risk assessment and the application of appropriate risk mitigation strategies.
- Actively participate in the product development process to ensure the appropriate identification and pricing of financial risks embedded in insurance liabilities.
- Support business unit and corporate initiatives such as Economic Capital programs, rating agency preparation and other presentations to ensure transparency and disclosure of financial risk exposures.
We are seeking a risk management professional with a Bachelors' degree and 5-7 years experience in a finance and/or risk management function. This individual will have a firm understand of investments and insurance products, fixed/variable annuities; experience in risk analysis, risk modelling, analytics and reporting. CFA, FRM and/or FSA designations are highly desired.
To find out more about Huxley Associates please visit www.huxley.com