Posted By
Posted in
Banking & Finance
Job Code
1385464
Assistant Vice President - Investment - Life insurance
The responsibilities of the candidate :
Investment Risk / Performance Monitoring :
- Responsible for Performance attribution of Investment Portfolios
- Computing various portfolio returns used to measure the risk associated with the portfolio and the return, such as Sharpe ratio, Stress testing.
- Reporting on movement of prices.
- Preparation of Fund Performance v/s the Benchmark and Peers
- Investment newsletter to Policyholders
- Monitoring of assets supporting Liabilities and ensuring that adequate assets are maintained to support the reserves
Middle office and related Activities :
- Ensure Timely and accurate delivery all reporting like IRDA quarterly disclosures, internal, Balance sheet disclosures etc.
- Active participation in Middle office related discussions like finalization of Balance Sheet (Process changes, Accounting and Valuation Policies), policies reviews, discussion on draft and new guidelines
- Ensure all Middle office projects shall conclude within agreed timelines
- Building strong relationship with other departments within the organization
Compliance and review of Investment Policy, SOP and other Policies :
- Monitoring of Regulatory Compliance of Investment pattern and exposure
- Monitoring of Limits set by Investment Committee
- Actively participate in new policy formation
- Review and update of the existing policies as per latest regulations
- Review and update of Standard Operating Procedure (SOP) as per industry best practices and regulatory changes
Timely reporting of all Regulatory, Share Holders & Internal :
- Ensure Timely and accurate delivery of the IRDA Investment returns, Balance sheet disclosures and other stake holders reporting
- Ensure timely Internal reporting Including ULIP disclosures, Public disclosures and Financial
- Support in selection of peers based on internal criteria.
- Ensure correctness of the reporting of fund performance against the benchmark & peers to Board, IC and other forums
BCP / DR Plan and Support to BRCM :
- To ensure periodic testing at alternative site / DR site
- Support to functional Business Risk & Control Manager (BRCM) in identifying, mitigating and monitoring all key risks within the function
- Support in Risk and Control assessment
Audits & Inspections :
- Support in IRDA inspection
- Risk Management Systems Audit
- External and compliance reviews
- Ensure timely provision of data to all Auditors and smooth closure of Audit of Investment MO/BO Function
Major Challenges :
- New complexities in financial markets by the launch of new financial products e.g. Derivatives, Credit Swaps, Inflation Linked Bonds, AIF, Invits, Reits etc.
- Continuous update of change in IRDA regulation and IND-AS.
- Credit and Market Risk Analysis and Risk Ratios in a dynamic market environment
- New product launches under different platforms with complexities involved
- Time Management
- Consistency and accuracy in work
- Ability to read between the lines and interpret
- Current Changes in RBI / SEBI policies, market review update
Role Context :
- Investment Performance and Risk monitoring, Regulatory reporting's etc.
- The role requires in depth knowledge of financial markets, financial products, regulatory framework, balance sheet and Risk Management, IND-AS standards.
- The position requires advanced knowledge of M-Fund
- Good knowledge of Excel including the Analytical tools and power point presentations
- The position requires having excellent inter-personal skills as it requires active interaction with all dept.
- Good Accounting knowledge: Equities, Bonds, Repos, MBS/ABS (Mortgage backed securities), Loans & deposits, CP/COD
- Preparation of Financial Statements as per IND AS / IFRS - IND AS 109
- System Enhancement and Development through Third Party Vendors
- SPOC for all audits (Internal Audit, Statutory Audit, IRDA Audit, System audit, Concurrent Audit)
TOTAL : 100%
REQUIRED QUALIFICATION AND SKILLS :
Qualification : CA
- Work experience in years: 5 years +
Skills / experience required :
- Good knowledge of Financial markets, Financial Products & Risk Management.
- Strong knowledge of Mfund , SAP.
- Good knowledge of Excel including the Analytical tools and power point presentations.
- Excellent inter-personal skills for active interaction with front office, Actuary & other internal dept. & other industry players.
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Posted By
Posted in
Banking & Finance
Job Code
1385464