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AVP, Senior Investment and Market Risk Analyst

Pacific Life

London

On-site

GBP 80,000 - 120,000

Full time

Yesterday
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Job summary

Join Pacific Life as an AVP, Senior Investment and Market Risk Analyst, responsible for analyzing investment risks and developing strategies aligned with the company's financial objectives. This role demands strong analytical skills, extensive investment experience, and the ability to collaborate effectively within teams. Enjoy a supportive work culture that values work-life balance and employee well-being, complemented by a variety of benefits for permanent employees.

Benefits

Stakeholder Pension Scheme
Life Assurance
Subsidised Gym Membership
Private Medical Insurance
Season Ticket Loan
Eye Care
Employee Assistance Programme
Group Income Protection
Wellness Benefits

Qualifications

  • 10+ years of actuarial or investment experience in asset liability management.
  • Expertise in economic capital techniques and risk frameworks.
  • Mentoring skills to develop junior team members.

Responsibilities

  • Conduct risk assessments and identify opportunities in investment.
  • Monitor market and liquidity risks and assign limits.
  • Collaborate on strategic investment initiatives with senior management.

Skills

Analytical skills
Problem-solving
Collaborative skills
Critical thinking

Education

BSc or higher
CFA/FIA or equivalent

Job description

Job Title
AVP, Senior Investment and Market Risk Analyst

Job Description

The AVP, Investment & Market Risk will be responsible for analysing and evaluating the risks associated with the company's investment portfolio and asset liability management. You will work closely with the business to develop and implement investment strategies that align with the company's risk tolerance and financial objectives.

To be successful in this role, you should have a strong background in investment analysis, and market risk management. You should also have excellent analytical and problem-solving skills, as well as the ability to work collaboratively with others. A degree in finance, economics, or a related field is typically required, along with relevant work experience in investment analysis or risk management.

Duties

  • Conducting in-depth review of investments and hedging for new transactions and in-force portfolio to help identifying potential risks and opportunities.
  • Utilizing industry best practices to quantify risk and aggregate exposures. Monitoring against key risk limits.
  • Assign risk limits to investment strategies to align with the company's risk tolerance and financial objectives.
  • Overseeing market and liquidity risk, especially interest rate, foreign exchange risk, and hedging effectiveness.
  • Collaborating with other teams within the company to ensure that investment strategies are aligned with the company's overall risk management framework.
  • Support VP, Savings & Retirements and VP, Protection on strategic investment and market risk initiatives for respective lines of business. Direct ad-hoc projects, reporting, and analysis as requested.
  • Responsible for Prudent Person Principle (PPP) policy and evidencing adherence across investment portfolios and hedging programmes.
  • Performing stress tests and scenario analyses to evaluate the impact of market changes on the company's investment portfolio and asset liability management.
  • Provide analysis for regulatory reporting including The Commercial Insurer's Solvency Self Assessment (CISSA), including supporting ESG and climate change asset risk scenario analysis.
  • Preparing reports and presentations for senior management and other stakeholders. Monitoring market trends and providing recommendations to management committees.
  • Provide coaching and mentorship to other members of the team.
  • Contribute to the improvement of processes, use of software/methodologies, and knowledge to enhance the maturity of market and investment risk management framework.
  • Documentation of updates to associated risk policies and limits.

Qualifications & Experience

Essential:
  • BSc or higher. CFA/FIA or equivalent status desirable.
  • 10+ years of responsible actuarial or investment experience including responsibilities related to asset liability management, structured assets and asset-backed securities, or related field.
  • Experienced in building effective relationships with key stakeholders such as investment teams, pricing teams, risk management, actuarial consultants, and senior management.
  • Capable of effecting significant change by driving change management.
  • Exceptional analytical, critical thinking, and problem-solving capabilities.
  • Positive attitude, collaborative and team-oriented.

Desirable:
  • An understanding of the building blocks and drivers of insurance cash-flows and their determinants, including statutory, economic, and GAAP frameworks.
  • Easily conversant with hands-on experience on a broad set of insurance products, i.e., life and annuity, protection etc.
  • Expertise in economic capital techniques and analysis.
  • Expertise in design and implementation of ERM frameworks.
  • Strong mentoring skills to develop and train junior members of the team.
  • Project management skills.

Working For Pacific Life Re

Every person in our global team is valued for the unique qualities they bring to our business and we seek to build their expertise and support their individual ambitions at every step. Of course, we take our work seriously and we know our team can operate under great pressure. We work hard and thrive on achievement, but we also know how to have fun and relax too. We regularly host a range of team building days to strengthen our team's connection with each other and reflect on their successes.

Providing employees with a healthy work-life balance is very important to our culture. We have a wide range of employee benefits and we host regular social activities and well being initiatives. We are also committed to supporting our employee's involvement in their communities, by actively fundraising, hosting charity events and overseeing volunteering opportunities.

Benefits (Only for Permanent and Fixed Term Employees)

• Stakeholder Pension Scheme

• Life Assurance

• Subsidised Gym Membership

• Private Medical Insurance

• Season Ticket Loan

• Eye Care

• Employee Assistance Programme

• Group Income Protection

• Wellness Benefits

As part of our commitment to diversity and inclusion, we will provide reasonable adjustments during the recruitment process to ensure equal access to applicants with disabilities. Please contact us about your needs so that we can discuss these with you to make sure that suitable adjustments are made, where possible.

Pacific Life Re Values

Please click here to view our company values
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