FIND YOUR 'BETTER' AT AIA
We don’t simply believe in being ‘The Best’. We believe in better - because there’s no limit to how far ‘better’ can take us.
We believe in empowering every one of our people to find their 'better' - in the work they do, the career they build, the life they live and the difference they make. So that together we can support even more people - including our own - to live Healthier, Longer, Better Lives.
If you believe in better, we’d love to hear from you.
About the Role
Join us as Investment Data Analyst at AIA Investment Management!The main objective of the Investment Analysis & Control function is to identify, assess and report current, emerging and potential Market, Credit, Liquidity and Environmental risks across all portfolios and funds managed and/or advised by AIAIM.
The incumbent will take responsibility of the BAU oversight of a specific asset class (i.e., Equity, Fixed Income, Private Assets or Derivatives) and will assist the Head of Investment Analysis & Control in overseeing and analysing the performance and risk of portfolios and funds, both individually and at an aggregated level.
Responsibilities
Provide an independent analysis and management of Investment Risks (Market Risk, Credit and Counterparty Risk, Liquidity Risk, Environmental Risk) for the AIAIM investment activitiesConduct 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/KRIsAssist 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 guidelinesAnalyse Investment Risks for new products/instruments and provide assessments to the Product Approval CommitteeAssist the Head of Investment Analysis & Control in the transition of processes, reports and analytics to the new risk systemRequirements
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 plusMinimum 7 years of proven Multi-Asset portfolio risk, performance and attribution experience. Knowledge of Derivative instruments and/or Private Assets and their related Investment Risk analysis would be viewed favourably. Familiarity with the relevant regulatory environment and related requirementsWorking knowledge of widely used risk and performance systems, BRS Aladdin and Bloomberg is a considerable advantageHands 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 a plus. Hands on experience with databases is a plusExcellent communication and presentation skills to translate complex risk information to diverse audiencesPro-active and team-oriented aptitudeBelieve in better with AIA. If you work at AIA, you play an important part in this movement. Which is why we give you every opportunity to learn, grow and shape your career - your way!
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Build a career with us as we help our customers and the community live Healthier, Longer, Better Lives.
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