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    Director of Financial Risk Management - Hong Kong, 香港 - AIA

    AIA
    Default job background
    全职
    描述

    At AIA we've started an exciting movement to create a healthier, more sustainable future for everyone.

    If you sound like that leader, read on.

    About the Role

    Acting as a deep financial risk subject matter expert covering financial risks on the liability side of AIA's business, this position will be responsible for proactively managing overall insurance risk, ALM risk, regulatory solvency risk and performing holistic forward-looking risk and solvency assessments.
    Provide risk oversight, challenge and analytical insights for the Group and business units over all financial risk-taking activities, through consistent identification, measurement and application of financial risk metrics that are consistent with the Group's Risk Appetite and regulatory constraints.

    Roles and Responsibilities:

  • Risk Appetite Statement & Tolerances: Primary accountability for the development,maintenanceandmonitoringoftheGroup'sRiskAppetite Statement, principles and tolerances for the Group.
  • Insurance &ALM-relatedRisk Policies,StandardsandGuidelines:Primary accountabilityforthedevelopment,maintenanceandimplementationofthe relevant risk management framework for the Group.
  • OverallInsuranceRisk:ProvideGroup-levelriskoversightofAIA'sproduct development & approval, inforce management, reinsurance, actuarial assumption setting and claims & underwriting. Recommend management actions to manage insurance risks where appropriate.
  • ALMRisk:MonitorandreporttheALMriskthroughactiveparticipationinthe annual SAA review exercise. Recommend management actions to manage ALM risk where appropriate.
  • Regulatory Solvency Risk: Develop and apply the Group stress & scenario testingframeworktomonitortheGroup'ssolvencyandfinancialstrength both on an actual and prospective basis. Recommend management actions to manage regulatory solvency risk where appropriate.
  • OwnRiskSolvencyAssessment("ORSA")&RecoveryPlan: Leadtheannual ORSA and Recovery Plan for AIA Group, and identify potential business actions deriving from these analyses.
  • Develop leading indicators and compile relevant management information to assist the Group Financial Risk Committee to understand and oversee the insurance, ALM and regulatory solvency risk profile.
  • Risk Capital model: Maintain and enhance in line with new developments and market conditions.
  • Lead and participate in financial risk-related ad-hoc projects based on senior management requests or external developments.
  • Minimum Job Requirements:

  • Bachelor'sdegreeinfinanceand/orrelatedarea.QualifiedactuaryandFRM preferred
  • 15+yearsofactuarial,insurancebusiness,investmentorfinanceexperience within a large-scale financial services environment
  • Proventrackrecordofinitiatingpolicyandcontrolimprovementanddriving programs that enhance transparency, governance or control
  • Expertanalysisanddecision-makingskills
  • Proactive,drivenleaderwiththeabilitytooperateeffectivelyfromthe conceptual stage through to successful implementation
  • Stronginfluencingandinterpersonalrelationshipskills tobuildnetworks across organization
  • Excellentpresentationskills.Abilitytocommunicateeffectivelyup,down,and across the organization.Ability to articulate complex information in a compelling and succinct manner
  • Candidateswithlessexperienceornotmeetingalljobrequirementswillbe considered for a more junior position.


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