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Manager, Financial Risk Analytics

Job Title: Manager, Financial Risk Analytics
Contract Type: Permanent
Location: Sydney
Reference: 3259005
Contact Email:
Job Published: April 27, 2021 16:15

Job Description

Join a global insurance group who boast a diverse portfolio of products, as well as leading risk management solutions. 

You will manage 1 staff member and your remit will include:
  • Generating insights, effective market and credit risk methodologies, analytics and monitoring.
  • Building and continuously strengthening the financial risk management analytics and ensure added-value risk reporting to executives.
  • Work closely with your stakeholders to ensure the frameworks and risk practices are being leveraged to deliver better business performance.
  • Key stakeholders include Group Investments, Treasury, Global Credit & Reinsurance teams, and members of the Global Risk team.
To be considered for this role you'll have a background in financial services ideally and experience in insurance specifically. 

Your modelling experience has been gained in a treasury/valuation/financial markets environment. You will have strong statistical modelling experience and technically you are sound in working with R code (calling scripts from R), and SQL.

You'll be degree qualified, ideally in mathematics or similar.
Above market salary on offer as well as supportive management & a great team environment. 

Applications welcome, please hit APPLY today.
Lauren Johnson

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