Full-Time

Investment Risk Manager

Confirmed live in the last 24 hours

Securian Financial Group

Securian Financial Group

Compensation Overview

$86.5k - $160kAnnually

Senior

St Paul, MN, USA

Hybrid work model; requires 3 days in-office each week for those within a 90-minute commute.

Category
Risk Management
Finance & Banking
Required Skills
Risk Management
Data Analysis

You match the following Securian Financial Group's candidate preferences

Employers are more likely to interview you if you match these preferences:

Degree
Experience
Requirements
  • Bachelor’s degree in finance, economics, or a related field
  • Minimum of 5 years of experience in risk management within the asset management or insurance industry, with a focus on credit risk
  • Strong analytical and quantitative skills
  • Demonstrated aptitude for leveraging data and systems to produce effective monitoring and reporting
  • Understanding of asset risk theory, relevant analytical and numerical modeling techniques, and industry-standard risk metrics that quantify various dimensions of asset risk
  • Excellent communication and presentation skills
  • Ability to collaborate and gain buy-in across various teams within Securian AM and the Securian enterprise
  • Ability to stand firm in risk management principles and make tough decisions
Responsibilities
  • Collaborate with the investment, data, technology, and leadership teams to build an investment risk monitoring framework that will enable efficient monitoring of identified attributes at defined intervals
  • Utilize the investment risk monitoring framework to monitor risks within specific asset classes and across the entire client portfolio
  • Lead discussions among investment professionals and leadership on which risk attributes to monitor and appropriate guidelines for each attribute
  • Initiate notification processes when risk attributes fall outside of established guidelines
  • Conduct stress testing and scenario analysis to evaluate potential impacts on portfolios
  • Raise concerns with portfolio teams and leadership where investment risks fall outside of established guidelines or in anticipation of potential movement outside of guidelines
  • Partner with Securian’s Enterprise Risk Management Team to incorporate investment risk controls into our broader enterprise risk management view
  • Maintain knowledge of industry best practices on investment risk oversight
  • Produce ad hoc reporting in support of the CIO, Securian AM leadership, and enterprise partners to provide transparency on investment risk attributes on an as-needed basis
  • Represent the investment risk function when appropriate at various forums (i.e., enterprise committees, fund boards, corporate committees, and corporate boards)
  • Develop oversight framework tailored to individual 3rd party relationships, including specific investment guidelines
  • Monitor investment risk attributes of externally managed portfolios
  • Coordinate with enterprise partners on comprehensive 3rd party investment management oversight process
  • Consult with enterprise partners on investment risk considerations for potential new relationships
Desired Qualifications
  • Advanced degree (e.g. MBA) or professional certification (e.g. CFA, FRM)
  • Experience with Clearwater, Bloomberg, Factset, Snowflake, Tableau, Power BI
Securian Financial Group

Securian Financial Group

View

Company Stage

N/A

Total Funding

N/A

Headquarters

N/A

Founded

N/A