We are currently partnered with the insurance arm of a top alternatives firm looking to expand their risk management organization by bringing on an associate/ VP to join the team. The role will cover market risk across the Equities and Fixed Income/ Credit portfolios and work closely with the PMs on the business.
This role will focus on risk oversight, portfolio analytics, stress testing, and capital modeling across investment portfolios linked to insurance and reinsurance strategies. The ideal candidate will have 3-6 years of experience in investment risk, portfolio risk management, or asset allocation, preferably within insurance, reinsurance, or alternative asset management.
Investment Risk & Portfolio Oversight
Risk Analytics & Capital Modeling
Stakeholder Collaboration & Reporting
Qualifications & Experience
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