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Life Insurer/Asset Manager - Investment Portfolio Analyst

Employer
Clarence George
Location
London (Central), London (Greater)
Salary
Excellent Base + Bonus + Study Support (if required)
Closing date
12 Dec 2020
Reference
CG/134

Job Details

Clarence George is working with a leading Life Insurer/Asset Manager on a newly created role in the Rates & Derivatives team. This role is ideal for an ambitious individual keen to gain exposure in Trading within a rapidly growing area of business.

Profile:

  • 1-3 years’ experience
  • Some Financial Markets exposure – LDI / Rates / Derivatives / FX / Hedging / Interest Rates
  • Strong quantitative skills – Python / Matlab / R / C++
  • Knowledge of an Insurance Balance Sheet would be a bonus but not essential
  • Background in Banking/Asset Management/Insurance
  • Open on qualifications and they will provide any necessary study support. A CQF qualification could be particularly relevant.

USP:

  • Clear career progression to Portfolio Manager and beyond
  • Exposure to front office Trading in Derivatives
  • Working closely with senior members of the team highly regarded within the market
  • Phenomenal exposure across a very wide remit (this role could be spread across 3 separate teams in other companies)
  • Very supporting and collegiate working environment.

Please get in touch to find out more about this exceptional opportunity.

Company

Clarence George is a highly bespoke London based Insurance & Investment Search Firm. We source the top quartile of talent across Insurance Solutions, Actuarial & Investment Risk with the main qualifications in our market being: FIA, CFA, MSc, PhD, CAIA, CQF, FRM. We have an enviable client base with access to the best asset focused roles within Life Insurance, General Insurance, Reinsurance, Retirement Solutions, Consultancy, Investment Banking, Asset Management, Private Equity, Hedge Funds and InsurTech.

Skills coverage:

- Insurance Solutions: ALM, Hedging, Structuring, Securitisation, Structured Finance, Collateralisation, FIG M&A, Corporate Finance, Transaction Services, Origination, DCM, Portfolio Management, Trading, Value-In-Force (VIF), Financing, Equity Research, LDI, Quant Strats

- Actuarial & Investment Risk:

Capital Optimisation, Solvency II, IFRS 17, BPA/Pension De-risking, ESG, Value at Risk (VaR), Financial Risk, Market Risk, Credit Risk, ERM- FinTech / InsurTech: Blockchain, AI, Decentralised Finance (DeFi), Distributed Ledger Technology (DLT), Web3, Tokenisation

Asset coverage:

Fixed Income, Derivatives, Rates, FX, Private Debt/Private Credit, Real Assets, Illiquid Assets, Equity Release Mortgages, Insurance Linked Securities (ILS), Digital Assets

Location coverage:

UK, Bermuda, Caymans, Hong Kong, Singapore

CG’s raison d'être is very simple. It is to work with the best and to truly partner with you.

Company info
Website
Location
77 Coleman Street
London
Greater London
EC2R 5BJ
United Kingdom

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