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Director, Asset Liability Management
Job in
New York, New York County, New York, 10261, USA
Listed on 2026-09-27
Listing for:
Nuveen
Full Time
position Listed on 2026-09-27
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Analyst
Job Description & How to Apply Below
** Key Responsibilities and Duties
*** Utilizes Asset Liability Management (ALM) metrics to analyze and propose strategies (e.g., asset allocation, hedging, product design) for improved asset-liability performance under different regulatory regimes and economic environments.
* Devises, tests, and proposes risk mitigation actions that help the enterprise withstand the impact of stresses and presents results and solutions.
* Takes ownership of complex quantitative models across diverse asset classes, ensuring accuracy and performance
* Builds the processes and tools to recalibrate models on a regular basis.
* Designs, develops, tests, implements, refines, and maintains models (e.g., derivatives pricing/valuation) and tools for ALM analytics and reporting.
* Validates models and identifies/implements enhancements when performance deviates from expectations.
* Leverages AI capabilities and applies programming skills across languages such as Python, MATLAB, VBA, and R to help achieve ALM goals.
* Independently performs analysis and calibration to develop/improve liability crediting strategies.
* Leads discussions with Model Risk Management, Internal Audit, regulators, and rating agencies, providing clear explanations of model methodologies.
* Devises and tests investment allocations and target portfolios for new initiatives and products.
* Produces financial analyses and recommendations to senior management for key decision-making.
* Mentors other team members, providing technical guidance and industry insight.
** Educational Requirements
*** University (Degree) Preferred
** Work Experience
*** 5+ Years Required; 7+ Years Preferred
** Physical Requirements
**
* Physical Requirements:
Sedentary Work
** Career Level
** 9IC
* * REQUIRED QUALIFICATION
*** 5+ years of asset-liability management, financial engineering, investment management, actuarial, modeling and/or other quantitative experience
** PREFERRED QUALIFICATIONS
*** 7+ years of asset-liability management, financial engineering, investment management, actuarial, modeling and/or other quantitative experience
* Advanced degree in quantitative field
* Outstanding quantitative and technical skills with ability to interpret and draw accurate conclusions from financial, market and economic data
* Investment management and liability-driven asset allocation experience
* Strong technical and coding skills including Excel, VBA, Python, PowerPoint and artificial intelligence skills
* Excellent problem solving and analytical skills, detail-oriented, independent and creative thinking, time management and organizational skills
* FSA and/or CFA
* Annuity or Pension or other insurance product experience
* Experience with stress testing, economic capital and asset strategies
* Experience with capital markets, various asset classes and economic scenario generation
* Experience with reinsurance
* Experience with internal audit and other regulatory reviews
Related Skills Data Analysis, Detail-Oriented, Financial Acumen, Financial Modeling, Financial Risk Management, Influence, Negotiation, Problem Solving, Programming, Quantitative Analysis, Risk Modeling, Risk Reporting, Strategic Thinking
** Anticipated Posting End Date:
** Base Pay Range: $173,000/yr - $272,000/yr
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