Company OverviewOne of the largest global providers of insurance, annuities, and employee benefit programs, having 90,000,000 customers in over 60 countries.
Job Description-Supporting developing investment strategies with deep understanding of macro economy, the market, and ALM.
-Macroeconomic and market analysis.
-Portfolio risk/return analysis and data handling, including portfolio optimizations.
Requirements-3+ years of experience in fixed income portfolio management, ALM, ERM, or something related.
-Asset-liability management and investment strategy experience.
-Analytical, communication, prioritization, and project management skills.