Catastrophe Portfolio Modeling Manager – North America

AIG

United States
Base: $120,000-$150,000; bonus: eligible per incen...
Primarily in-office
7+ years catastrophe portfolio modelling experience
Proficiency in rms or air modeling software
Strong sql skills and understanding of rms back-end schema
AIG is seeking a Catastrophe Portfolio Modeling Manager to lead catastrophe modeling and portfolio exposure management for their North American Insurance businesses. The role involves collaboration with various teams, the development of automated frameworks, and a deep understanding of catastrophe modeling and property insurance

Job Summary

  • The primary responsibility is to lead catastrophe portfolio modeling for select North America Commercial and Specialty Property business lines.
  • The role involves developing automated processing frameworks and providing data-driven insights to support underwriting and portfolio management strategies.
  • AIG offers a comprehensive Total Rewards Program focused on health, wellbeing, financial security, and professional development.

Matching Summary

Match Score: 85

AIG is seeking a Catastrophe Portfolio Modeling Manager to lead catastrophe modeling and portfolio exposure management for their North American Insurance businesses. The role involves collaboration with various teams, the development of automated frameworks, and a deep understanding of catastrophe modeling and property insurance.

Salary

Base: $120,000-$150,000; Bonus: Eligible per incentive plan; Benefits: Comprehensive Total Rewards Program including health and financial security

Skills & Requirements

Must-have

  • 7+ years catastrophe portfolio modelling experience
  • Proficiency in RMS or AIR modeling software
  • Strong SQL skills and understanding of RMS back-end schema
  • Experience with reinsurance modelling tools like Metarisk or Remetrica
  • Ability to communicate technical concepts to non-technical audiences

Nice-to-have

  • Progress towards CPCU industry qualification
  • Experience with PowerBI, Qlikview, or Tableau
  • Understanding of internal capital models and regulatory returns
  • Experience building data frameworks and governance
  • Familiarity with multinational matrix structures

Key Requirements

  • Bachelor's degree in analytical field (Mathematics, Statistics, Finance)
  • Masters degree in analytical field preferred
  • US work authorization required due to office-based role
  • No specific visa sponsorship mentioned

Work Rights

Not specified

Tailored Resume

Cover Letter