Job Views:  
928
Applications:  50
Recruiter Actions:  11

Job Code

110145

Sr Manager/AVP - Fixed Income Research

6 - 9 Years.Delhi NCR
Posted 11 years ago
Posted 11 years ago

About Our Client

Our client is a leading insurance/reinsurance organization across the globe. With 60+ offices in more than 20 countries they are a world leader in providing risk based solution to leading organizations across the globe. As their business in India is expanding, and are looking for a quant professional to help achieve their expansion plans.

Job Description:

Reporting into the SVP, your key responsibilities would include:

- Developing and managing asset return models used to assess economic and statutory capital requirements for the investment portfolio

- Managing the quarterly evaluation of market risk and asset credit risk for the group economic model

- Manage the investment yield reinvestment model that is used for annual budget, strategic planning and actuarial pricing tools

- Provide support for group level solvency II initiative

The Successful Applicant

- You are a Masters from a Tier 1 institution with a minimum 6 years of relevant experience in the quant modeling domain

- You must be a CFA Charter holder or should have at least cleared 2 levels

- Excellent knowledge in the fixed income or the equities domain

- Strong experience in advanced models like Yield Curve Fitting Models, Interest Rate Models, etc

What's On Offer

Excellent work life balance in a very meritocratic culture with leading MNC. This role would offer you variation, stability and career progression in addition to a highly competitive compensation

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Job Views:  
928
Applications:  50
Recruiter Actions:  11

Job Code

110145

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