Analyst, Strategy, Global Hedging - Variable And Indexed-linked Products

Manulife

Toronto, Canada
Base: $62,850.00 cad - $104,750.00 cad; bonus/equi...
Hybrid
Quantitative analysis
Financial derivatives knowledge
R/python proficiency
The Strategy team is responsible for identifying risk exposures and designing robust hedging strategies to mitigate market risks for variable annuity and indexed universal life products

Job Summary

  • The Strategy team is responsible for identifying risk exposures and designing robust hedging strategies to mitigate market risks for variable annuity and indexed universal life products.
  • Responsibilities include analyzing proposals for new hedging strategies, conducting research on alternative strategies, and analyzing large data sets using R/Python/Excel.
  • Manulife offers a wide array of customizable benefits, including health, dental, mental health, vision, disability, life insurance, retirement savings plans, and generous paid time off.

Matching Summary

The Strategy team is responsible for identifying risk exposures and designing robust hedging strategies to mitigate market risks for variable annuity and indexed universal life products.

Salary

Base: $62,850.00 CAD - $104,750.00 CAD; Bonus/Equity: Incentive programs and incentive compensation tied to business and individual performance; Benefits: Health, dental, mental health, vision, disability, life insurance, adoption/surrogacy, wellness, retirement savings plans, paid time off

Skills & Requirements

Must-have

  • Quantitative analysis
  • Financial derivatives knowledge
  • R/Python proficiency
  • Data analysis large datasets
  • Capital markets expertise

Nice-to-have

  • Business acumen
  • Communication skills
  • Problem-solving orientation
  • Team collaboration

Key Requirements

  • Undergraduate mathematics/actuarial science/science minimum
  • Experience using VBA, SQL, EXCEL
  • Proficient in R or Python
  • FRM or CFA designation (or in pursuit)

Work Rights

Not specified

Tailored Resume

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