ILP Fund Lifecycle & Strategy Lead

Chubb European Group Ltd.

Hong Kong

On-site

HKD 420,000 - 620,000

Full time

14 days+
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Job summary

Chubb European Group Ltd. is seeking an ILP Fund Specialist to oversee the end-to-end lifecycle management of Investment-Linked Products (ILP) across multiple channels.

The role serves as the primary liaison with external fund houses while partnering with internal distribution and investment teams to deliver a well-managed fund proposition. The role will lead fund setup, onboarding, and ongoing maintenance, manage fund documentation and regulatory filings, and ensure data integrity across

Responsibilities

  • Lead the setup, onboarding, and ongoing maintenance of ILP fund menus
  • Serve as the primary contact with external fund houses on fund-related matters
  • Manage fund documentation, regulatory filings, and operational requirements
  • Coordinate with operations, compliance, and legal teams to implement fund changes accurately
  • Maintain an up-to-date fund menu and data integrity across systems and materials
  • Partner with distribution teams to address investment-related queries and create training sessions
  • Develop and present fund information and collateral for front-line distribution teams
  • Collaborate with investment management to align fund positioning and market commentary
  • Provide regular fund performance data, analysis, and reporting to support review cycles
  • Prepare investment commentary for decisions on fund additions, terminations and switches
  • Monitor market developments and fund flows to inform menu rationalization

Job description

Chubb European Group Ltd. is seeking an ILP Fund Specialist to oversee the end-to-end lifecycle management of Investment-Linked Products (ILP) across multiple channels.

The role serves as the primary liaison with external fund houses while partnering with internal distribution and investment teams to deliver a well-managed fund proposition. The role will lead fund setup, onboarding, and ongoing maintenance, manage fund documentation and regulatory filings, and ensure data integrity across

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