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Miryco Consultants are working with a FTSE 250 pension insurance specialist to hire a Head of Investment Valuation to own the delivery of asset modelling methodology and systems, short-term liquidity risk modelling and management, and other initiatives.
The successful applicant will report into the Director of Investment Operations & Reporting and fulfil an important role at the heart of the function, leading a team of valuation specialists.
Key Responsibilities:
- Lead the Investment Valuation team, driving strategy and shaping team outcomes.
- Oversee the accurate valuation of investment assets, derivatives, and repos, providing technical expertise.
- Develop and govern asset modelling methodologies for new asset types, in collaboration with asset managers.
- Maintain a master list of asset valuation and reporting requirements for asset managers.
- Own, develop, and maintain asset, derivative, and repo modelling methodology documentation, including for IFRS Level 3 and LPI-linked assets.
- Manage the development and maintenance of the LPI projection model and market yield curve infrastructure.
- Ensure sustainable operating models for illiquid asset valuation and independent price verification (IPV), managing relationships with asset managers and vendors.
- Analyse and explain valuation differences between the organization and asset managers/vendors.
- Model and manage short-term liquidity risk, providing technical support for other initiatives within Investment Operations.
- Assess and communicate key asset valuation judgment areas to management, executive teams, and Board committees.
- Lead the Asset Valuation Committee and engage with external auditors on asset valuation matters.
- Develop and maintain a risk and controls framework for asset valuation processes.
- Collaborate with internal teams, particularly in Investments, Finance, Actuarial, and Risk, supporting regular Investment Operations processes.
Qualifications/Experience:
- Qualified actuary or equivalent quantitative background with at least 10 years of relevant experience.
- Strong knowledge of fixed income assets, derivatives, and repos; experience in corporate bonds/loans, financial derivatives, and repos is preferred.
- Expertise in financial modelling software (Excel, VBA, and ideally Bloomberg and FIS Quantum).
- Proven ability to solve complex technical issues and communicate solutions to non-technical audiences.
- Strong problem-solving skills and ability to proactively identify and address challenges.
- Previous experience in Investments, Reporting, or Treasury is highly desirable.
Location: London