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A top insurance firm is looking for a dynamic quantitative risk manager to join their growing Investment risk team. The role has a global responsibility as you will be working in a cross functional environment with colleagues in different parts of the world.
You will be reporting into the head of investment risk and responsible for covering the fixed income portfolio. You will be responsible for developing and maintaining risk management models in Python and SQL. You will also be interacting with various internal stake holders and senior members of management.
Develop quantitative risk models
Learn the fixed income portfolio and lead risk strategy