Description:
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Position: Investment Manager
Job ID: 40195
Responsibilities:
-Develop, manage and optimise investment strategies for assets backing liabilities as well as surplus assets
-Develop optimised pricing portfolios in line with the company's Strategic Asset Allocation for new business transactions.
-Ensure investment models used by the Pricing team remain up to date and provide day-to-day investment support to the Pricing team including on and around transaction dates
-Liaise and maintain relationships with external Investment Managers and ensure portfolios are implemented and monitored appropriately and collateral requirements are monitored regularly
-Develop, manage and optimise ALM processes and systems to ensure balance sheet risks are well understood and quantified.
-Develop, manage and optimise risk monitoring and management processes for all the key balance sheet risks
Qualifications:
-actuarial designations / exams or CFA holder
-Exceptional Excel and VBA skills and good familiarity with investment data terminals such as Bloomberg
-Strong technical skills including the use of financial projection and ALM models and hedging strategies
-->SALARY: market rate
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