Our client is a renowned life insurance company with strong presence across the region. To cope with the business needs, they are hiring an Investment Risk Manager to join their team.
Job Duties:
Assess and monitor the overall investment risk of the company
Perform independent assessment on new investment initiatives and projects from investment risk perspective
Monitor the implementation of risk related policies and relevant control
Support 1st line of defence to strengthen their governance framework and internal control practice
Facilitate regular risk reporting submission to internal and external stakeholders
Perform other ad-hoc requests
Requirement:
Degree Holder in Risk Management/Finance or any other relevant disciplines
5 years or above solid experience in market risk/ investment risk/ credit risk management
Solid knowledge of investment products including fixed income, equity, alternative investment, mutual fund, derivative and structured products
Strong problem solving, effective communication and interpersonal skills
Analytically minded and attention to detail
Proficient in in Excel & Access. Knowledge of Bloomberg is a definite advantage.
Proficient in SPOKEN & written English & Chinese (Cantonese & Mandarin).
Candidates with actuarial background will be a definite asset