Posted By
Posted in
Banking & Finance
Job Code
1473654
FINANCIAL RISK MANAGER - LIFE INSURANCE
- To Pro-actively provide oversight of aggregated risk profile, monitor risk exposure against appetite, identify trends, material changes in risk profile and emerging risks.
- To perform financial risk reviews for Market Risk (Equity and Interest Rate), Liquidity risk, Credit risk etc.
- To control Investment Risks by monitoring the portfolio at regular intervals and quantify risks/potential impact on the firm.
- To design management dashboards on performance/risk parameters of investments and exposures/limits etc.
- To develop models used in the domain of ALM, market risk, credit risk, asset risk, and other risk domains
- To perform model validation and analytical processes such as ALM calculations, scenario analysis, stress testing etc. and report the performance of the models/findings to senior management
- Preparing presentation for ALM Committee and Risk Management Committee meetings etc.
Specific Authorities( Financial & Non- Financial) :
- Authorized to access investment/actuary/finance/corporate planning files and use data for risk monitoring, analysis and reporting.
Internal Financial Key Performance Indicators :
- Pro-active identification of material changes/trends in risk profile.
- Flagging of evolving/emerging risks through periodic analysis and timely market updates.
- Sharpening focus on key risk areas through knowledge sharing and adoption of best practices.
- Ensuring 100% compliance with regulatory guidelines/limits.
- New initiatives & process improvements/model creation/upgradation.
Job Requirements :
- Qualifications - MBA, Degree in Engineering/Finance/Economics preferred
- CFA/FRM or other investment/risk certifications desired
- Experience 5-10 Years' experience in the life Insurance industry and/or investment/financial risk department preferred.
Functional Competencies :
- MIS and Analytics
- Business Knowledge : Understanding of financial markets and products
- Risk Knowledge : Understanding of financial risk measurement & management, and derivative instruments and their use for creation of hedging strategies.
- Basic Skills : Understanding of Life insurance systems, processes and products
Behavioral Competencies :
- Business Acumen
- Collaboration
- Execution Excellence
Key Interactions :
Internal Nature or purpose of interaction :
- Investment Front Office
- Asset Cash flows and ALM/other assets
- Investment Back Office
- Regulatory limits/compliance
- Actuary Team
- Liability cash flows and products
- Finance/Planning Team
- Financial statements, operating plan, revenue/expense forecasts
External Nature or purpose of interaction :
- Group Risk Team
- Emerging risks/exceptions, ERM/Risk guidelines
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Posted By
Posted in
Banking & Finance
Job Code
1473654
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