Senior Manager, Risk and Quantitative Analytics (RQA)

at  AIA INVESTMENT MANAGEMENT PRIVATE LIMITED

Singapore, Southeast, Singapore -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate17 Aug, 2024USD 15000 Monthly18 May, 2024N/AActuarial Science,Financial Engineering,Financial Risk Management,Python,Analytics,Sql,BloombergNoNo
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Description:

The role will act as a subject matter expert (primarily on Fixed income) under RQA function providing independent investment risk reporting and quantitative service support

Also, this position will actively participate with both Group and Local front office, operations, and other control functions.

  • Design and implement Group-wide risk analytics framework that AIA Investment invested on Fixed Income, including Private Credit and Alternatives (e.g., CDO/CLO).
  • Establish accurate risk monitoring processes by developing and supporting various risk models demonstrating Group-wide systems (e.g. Bloomberg) in order to provide timely exposure and risk monitoring service.
  • Perform regular/ad-hoc risk analytics support, including but not limit to market risk (e.g., DV01, Duration, credit spread), liquidity risk (e.g., LAR) and credit/counterparty risk analysis (e.g., weighted average ORR). Provide risk commentary on key risk indicators.
  • Participate in project implementation to provide standardized investment risk dashboard for senior management at Group and Local offices.
  • Provide advisory on Index/Benchmark selection process (e.g., back-testing) and necessary customization for Local Investment teams.
  • Perform other responsibilities such as sustainability strategy and ESG / climate and environmental risk analytics.

Requirements

  • Bachelor’s degree in financial engineering or other relevant fields such as actuarial science and risk management.
  • 8-10 years’ of experience in investment/risk modeling design/support, investment analysis, derivatives analytics, and financial risk management in global financial services firms (prior experience in Buy-side/Insurance industry a plus).
  • Experienced in Bloomberg (MARS/PORT), Moody’s analytics, Aladdin and BNY Eagles.
  • Professional certification or licenses, CFA and/or FRM or related experience is a huge plus
  • Proficiency in VBA, SQL, Python, PowerBI is required.

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Responsibilities:

Please refer the Job description for details


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Financial engineering or other relevant fields such as actuarial science and risk management

Proficient

1

Singapore, Singapore