Remote Actuarial Associate II - Asset Modeling & ALM

The Standard

Oregon (WI)

Hybrid

USD 82,000 - 121,000

Full time

14 days+

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Benefits offered by this job

Medical, dental, vision
401(k) with company matching
Paid time off and holidays
Parental leave
Volunteer program

Job summary

The Standard is seeking a talented actuary to join the Asset Modeling Team within Corporate Actuarial and Risk Management (CARM). You will develop, maintain, and productionize asset models for ALM, cash flow testing, and regulatory reporting.

You will work with bonds, mortgages, derivatives, and alternatives, and gain insight into risk management practices. You will use GGY AXIS, Moody’s Scenario Generator, Python, SQL, Power BI, and related tools while collaborating with modeling, ALM,

Qualifications

  • Minimum 2 years of actuarial experience or equivalent internship/experience.
  • Successful completion of 3 or more actuarial exams.
  • Experience with large datasets and maintaining, validating, and analyzing actuarial models.
  • Exposure to life insurance, asset modeling, ALM, or financial reporting (preferred).

Responsibilities

  • Own asset modeling processes, execution, analysis, validation, and documentation.
  • Support ALM, cash flow testing, regulatory reporting, and enterprise risk management activities.
  • Develop and enhance asset modeling capabilities using GGY AXIS and related platforms.
  • Generate economic scenarios and interest rate sensitivity measures to assess risk.
  • Review outputs and communicate findings with cross-functional teams.

Skills

Excel
Power BI
Python
SQL
Asset modeling
GGY AXIS

Education

Bachelor's degree in mathematics, statistics, actuarial science, business, related fields, or comparable work experience

Tools

GGY AXIS
Moody’s Scenario Generator

Job description

The Standard is seeking a talented actuary to join the Asset Modeling Team within Corporate Actuarial and Risk Management (CARM). You will develop, maintain, and productionize asset models for ALM, cash flow testing, and regulatory reporting.

You will work with bonds, mortgages, derivatives, and alternatives, and gain insight into risk management practices. You will use GGY AXIS, Moody’s Scenario Generator, Python, SQL, Power BI, and related tools while collaborating with modeling, ALM,

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