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Leading UK Speciality Insurer – Associate Portfolio Manager

Employer
Clarence George
Location
London (Central), London (Greater)
Salary
Exceptional salary package on offer
Closing date
2 Oct 2024
Reference
CG/546

Job Details

Clarence George is working with a Specialist UK Insurer on an exciting Associate Portfolio Manager role. This vacancy sits within the investment function with the team operating across deal execution, portfolio management and trading.  

This hire will be responsible for supporting portfolio managers on the derivatives (interest rate, inflation and FX) portion of the portfolio. The team is very collaborative so there is breadth in this role to work across different areas within the team including liquidity and collateral management and new business.

Profile:

  • 5+ years’ experience from buy/sell side
  • Knowledge of derivatives and experience in a rates/fixed income setting
  • Insurance balance sheet knowledge is beneficial but not a key requirement
  • Strong technical skills with working knowledge of Python or other advanced languages
  • Execution experience would be useful but not essential
  • Self-motivated and able to work in a dynamic environment

This is an exceptional opportunity to join an industry leading team and business. Please get in touch if you’d be interested in learning more.

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
GB

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