
Senior Investment Risk Manager (AIA Investment Management)
- Singapore
- Permanent
- Full-time
- Provide an independent analysis and management of Investment Risks (Market Risk, Credit and Counterparty Risk, Liquidity Risk, Environmental Risk) for the AIAIM investment activities
- Conduct risk-return analyses on portfolios and funds managed and/or advised by AIAIM and overseeing risk-taking activities in line with risk budgets and KPIs/KRIs
- Assist the Head of Investment Analysis & Control in developing, reviewing and enhancing the Governance framework on matters related to Investment Risk management, ensuring compliance with relevant regulations and guidelines
- Analyse Investment Risks for new products/instruments and provide assessments to the Product Approval Committee
- Work with the Head of Investment Analysis & Control in the transition of processes, reports and analytics to the new risk system
- Candidates will preferably hold an MSc degree in a technical discipline (Finance, Statistics, Computer Science, Mathematics) and possess good analytical, quantitative, and problem-solving skills. CFA/FRM certifications are a plus
- Minimum 12 years of proven Multi-Asset portfolio risk, performance and attribution experience. Direct experience with one or more Private Assets (i.e. Private Equity, Venture Capital, Real Estate, Private Credit)
- Working knowledge of the relevant regulatory environment and related requirements
- Working knowledge of widely used risk and performance systems, BRS Aladdin and Bloomberg is a considerable plus
- Hands on programming experience in Python/R together with the libraries commonly used for data manipulation (e.g., Pandas in Python, Tydiverse packages in R), with statistical analysis/data science is strongly preferred. Hands on experience with databases will be an advantage.
- Excellent communication and presentation skills to translate complex risk information to diverse audiences
- Pro-active and team-oriented aptitude