金融风险管理岗

Manulife Financial Corporation

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3-5 years risk management experience
Actuarial/finance/mathematics degree
Frm or actuarial exam participation
** 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. **

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

** 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. **

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
  • Active participation in FRM or actuarial exams
  • Strong English language proficiency
  • Proficiency with standard office software tools

Work Rights

Not specified

Tailored Resume

Cover Letter