Manager, Risk Management

Singapore, Singapore

Job Description


:

We believe that effective risk management will help us safely navigate the volatile and complex business and regulatory environments to achieve success. In Income, our Risk Management Department drives risk management agenda, ensures sound and effective risk management framework and promotes risk culture. We work in close partnerships with our business and other stakeholders to achieve the desired business and risk outcomes. We stay relevant and therefore, getting better and sharper at what we do is the constant. We have organized ourselves into Financial and Insurance Risk; Risk Governance & Operational Risk; Technology Risk and Investment Operational Risk and Compliance. We are looking for a strong and pro-active team player who wants to grow with Income Insurance to join us.

We are looking for a team lead in Income Insurance\'s Financial & Insurance Risk Management team with strengths in market, credit, liquidity, climate and insurance risks to complement our team. As part of your responsibilities, you will be:

  • Responsible for project management and report production of the annual ORSA exercise, including designing stress scenarios to test the vulnerability of the company\'s financials.
  • Responsible for model risk governance including annual review of the policy, guidelines, and templates, and conducting the actual model risk review across the company\'s key models.
  • Responsible for assessment and 2nd line oversight and reporting, as part of Sustainability Report and Enterprise Risk Dashboard, of climate-related risks arising from the business activities, including climate scenario and stress testing.
  • Develop and maintain risk policies, framework, limits and performing associated work related to climate risks to ensure that we operate within our risk appetite.
  • Provide 2nd line risk management advice on proposed new climate-related strategies, initiatives and waivers of limits and determine the implications on our risk profile.
  • Play an important role in the maintenance and regular enhancement of our modelling system for internal study and risk analytics.
  • Participate in other projects across the Risk Management Department.
Requirements
  • Degree in Quantitative Finance/Financial Engineering/Financial Mathematics/Actuarial/Statistics or CFA equivalent.
  • Minimum 7 years of relevant experience in actuarial or risk management.
  • Experience in proposing and working with business to implement risk mitigation actions to address financial and insurance risks will be an advantage.
  • Strong interest in financial modelling and data analysis; good quantitative analytic and problem-solving skills.
  • Advanced skills in Microsoft Excel, VBA and Prophet; Sound knowledge of programming concepts; Experience in Python and/or SQL database would be advantageous.
  • Strong communication skills with the ability to explain complex or technical matters in a clear and concise manner.
  • Good teamwork with excellent internal and external relationships.

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Job Detail

  • Job Id
    JD1389345
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Singapore, Singapore
  • Education
    Not mentioned