Financial Risk Manager

Posted 18 Hours Ago
Be an Early Applicant
Lansing, MI
5-7 Years Experience
Financial Services
The Role
The Financial Risk Manager oversees financial, model, and insurance risk management, focusing on the assessment of risk exposures related to equity, interest rates, and credit. Responsibilities include developing quantitative models, validating actuarial models, and enhancing the Stress and Scenario Testing process while collaborating with various departments to strengthen risk management practices.
Summary Generated by Built In

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Job PurposeThe Financial Risk Manager contributes to the independent Risk function by providing effective oversight of financial, insurance and model risk management across the organization. Reporting to the Director, JFI Risk, this position will work to understand, measure, monitor and report risk exposures and bring experience in annuity asset/liability modeling and management, market risk analysis and model risk management to the team.Essential Responsibilities

  • Performs financial, model, and insurance risk oversight, with potential coverage of the following risks: equity, interest rate, credit, counterparty, liquidity, model, product/pricing, policyholder behavior.
  • Assists in the development and use of quantitative models and analytical tools that enable the Risk function to adequately assess risk to its capital and liquidity positions.
  • Performs validations and control reviews of actuarial/financial models, including assessments of the methodologies and assumptions used within models.
  • Contributes to and/or leads the design, analysis, and implementation of the Stress and Scenario Testing/Reverse Stress Testing process and provides risk insight from the results.
  • Develops and maintains effective relationships with other functions (ALM, Treasury, Finance, Actuarial, Audit, Compliance, etc.), to facilitate a holistic view of risk across the organization and to strengthen cross-disciplined risk management.

Other Duties

  • Performs other duties and/or projects as assigned.

Knowledge, Skills and Abilities

  • Ability to independently lead workstreams from concept to implementation.
  • Experience in quantifying and managing the risk embedded in annuity products.
  • Demonstrated experience in the design, use, and testing of quantitative financial models; experience using MG-ALFA is a plus.
  • Basic understanding of risk management principles, processes, and practices.
  • Knowledge of derivative instruments and their use in hedging annuity risk.
  • Ability to build analytical tools and automate processes with a general purpose programming language, such as Python.
  • Strong verbal and written communication skills, especially when articulating technical concepts in a compelling manner to engage both technical and non-technical audiences.
  • Able to quickly build and maintain effective relationships with stakeholders across business functions and teams.
  • Forward–thinking, collaborative and proactive individual with confidence and ability to recommend and implement change.

Qualifications

  • Bachelor's Degree in a quantitative discipline required.
  • Master's Degree in a related field preferred.
  • 5+ years in a diversified life and annuity/financial services company required.
  • Professional designation in financial risk management, such as FSA or CFA preferred.

We don't just accept difference - we celebrate it, we support it, and we thrive on it for the benefit of our employees, our products and our community. Jackson is proud to be an equal opportunity workplace. The Company subscribes to and endorses federal and state laws and regulations relating to equal employment opportunity for all persons without regard to race, color, religion, gender, age, national origin, legally-recognized disability, marital status, legally-protected medical condition, citizenship, ancestry, height, weight, sexual orientation, veteran status, or any other factor not related to the needs of the job. The Company is committed to a policy of equal opportunity. Company facilities and campuses are tobacco-free environments.

Top Skills

Python
The Company
HQ: Lansing, MI
3,409 Employees
On-site Workplace

What We Do

Jackson® is committed to helping clarify the complexity of retirement planning. Our range of annuity products, financial know-how, history of award-winning service*, and streamlined experiences strive to reduce the confusion that complicates retirement plans.

We dedicate our time, money, and resources to strengthening financial literacy, striving to make sure every American has access to the resources they need to master their money and their future.

We believe by providing clarity for all today, we can help drive better outcomes for tomorrow.

Interested in becoming one of our associates? We develop and celebrate talent in many areas, from sales and marketing to consulting and compliance. We know that diversity and inclusion make us all stronger together.

Learn more about our products at jackson.com

Contact Us
Jackson.com
517/381-5500 – General Information
800/644-4565 – Contract Owners
877/565-2968 – Values and Contract Information

* SQM (Service Quality Measurement Group) Contact Center Awards Program for 2004 and 2006-2021. (To achieve world-class certification, 80% or more of call-center customers surveyed must have rated their experience as very satisfied, the highest rating possible.)

Jackson® is the marketing name for Jackson National Life Insurance Company® (Home Office: Lansing Michigan) and Jackson National Life Insurance Company of New York® (Home Office: Purchase New York). Jackson National Life Distributors LLC.

SMPR1292 03/23

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