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APAC Risk Structurer
2 months ago
About the Role:
Within Munich Re, our focus is on delivering innovative solutions for life insurance clients globally. This division is dedicated to handling unique transactions that encompass corporate finance and risk management through structured reinsurance, hedging, and strategic risk transfer.
Our Markets division has successfully developed and reinsured a variety of customized savings products around the world, equipped with the necessary infrastructure to manage risks associated with savings, retirement, and investment products. We are currently enhancing our Global Modelling & Analytics team to address the increasing demand for strategic solutions and reinsurance for investment-linked insurance products throughout the APAC region.
The Global Modelling & Analytics team comprises approximately 15 specialists located in various hubs worldwide. We are establishing local modelling capabilities to bolster Business Development and Inforce Structuring efforts in key APAC locations.
Your Responsibilities:
- Lead the design and pricing of customized alternative reinsurance solutions.
- Conduct risk and profitability assessments for life insurance and reinsurance products.
- Develop reinsurance solutions that consider accounting, regulatory, and economic risk transfer factors.
- Enhance pricing and modelling tools that blend traditional actuarial methods with financial mathematics.
- Provide expert support for strategic initiatives.
- Prepare and present on various life reinsurance topics to internal and external stakeholders.
- Act as a primary liaison for Originators and Structurers in the APAC region, fostering market development and client relationships.
Your Qualifications:
- A minimum of 3 years of experience in life (re)insurance, investment banking, or actuarial consulting, complemented by a (post)graduate degree in mathematics, actuarial science, business economics, or a related discipline.
- Strong understanding of stochastic/statistical methods, financial mathematics, and relevant international accounting and regulatory frameworks.
- Familiarity with programming languages (e.g., Python) or statistical computing languages (e.g., R) is advantageous.
- Experience in pricing and structuring tailored reinsurance agreements or financial derivatives.
- Exemplary personal integrity, a strong sense of responsibility, and a commitment to knowledge sharing.
- Demonstrated project management capabilities along with robust analytical skills.
- Creativity and adaptability in a dynamic environment, with the ability to collaborate within a distributed team.
- Fluency in English; proficiency in additional major languages is a plus.
At Munich Re, we pride ourselves on our ability to manage a diverse range of risks globally. Our business model integrates primary insurance and reinsurance, ensuring we provide comprehensive solutions tailored to our clients' needs. We believe in building relationships based on trust and collaboration, and we are committed to fostering an inclusive environment that values diverse perspectives and experiences.