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Senior Risk Analyst, Conventional Reporting

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  • Posted 11 hours ago
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Job Description

Job Description

  • Prepare and analyze capital adequacy and solvency reports.
  • Support stress testing and sensitivity analysis to assess financial resilience under different market conditions.
  • Perform Asset-Liability Management (ALM) profile analysis, and monitor market and investment risks.
  • Contribute to strategic asset allocation (SAA) and capital management initiatives.
  • Prepare reports and presentations for senior management and risk committees.
  • Review and enhance risk policies, frameworks and reporting processes.
  • Partner with teams across Risk, Finance, Actuarial and Investment to deliver key risk management initiatives.
  • Drive process improvements through automation and data analytics.
  • Coach and support junior team members where appropriate.
  • Take on other Financial Risk Management initiatives as the business evolves.

Job Requirement

  • A Bachelor's degree in Actuarial Science, Mathematics, Statistics, Finance, Economics, Risk Management or a related discipline.
  • Around 3-5 years of experience in insurance, financial services or risk management.
  • Experience in financial risk reporting, stress testing, strategic asset allocation (SAA) or solvency monitoring is an advantage.
  • Strong technical and analytical skills, with an understanding of capital adequacy, asset-liability management (ALM) and financial risk concepts.
  • The ability to work independently, manage multiple priorities, and provide guidance to junior team members.
  • Proficiency in Microsoft Excel and PowerPoint. Knowledge of Python, R, VBA or Prophet is an added advantage.

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Job ID: 152409205

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