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Manulife Financial Corporation is seeking a Financial Risk Management Specialist to contribute to their financial risk assessment and management capabilities. The ideal candidate will possess a relevant degree and some experience in financial risk or actuarial roles, with a focus on liquidity stress testing and risk reporting.
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Job Summary
This role contributes to the mission by maintaining risk preference systems and conducting liquidity stress tests to ensure financial stability.
The position offers an opportunity to shape the future of financial services while working within a flexible and inclusive global team.
Employees will gain valuable experience in regulatory reporting, SARMRA assessments, and investment risk evaluation for PE and RE assets.
Matching Summary
Match Score: 75
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Manulife Financial Corporation is seeking a Financial Risk Management Specialist to contribute to their financial risk assessment and management capabilities. The ideal candidate will possess a relevant degree and some experience in financial risk or actuarial roles, with a focus on liquidity stress testing and risk reporting.
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Skills & Requirements
Must-have
3-5 years risk management experience
Actuarial/Finance/Mathematics degree
FRM or actuarial exam participation
English reading and writing skills
Office software proficiency
Nice-to-have
Flexible work environment
Inclusive culture support
Global team collaboration
Key Requirements
Bachelor's degree in Actuarial Science, Finance, Insurance, Math, or Statistics
0-3 years experience in actuarial assessment or risk management