Beranda Loker Detail
F
Insurance & Superannuation 🏢 Full Time ⭐️ Terverifikasi

Senior Executive, Economic Capital & Special Projects

FWD Malaysia
Kuala Lumpur
Estimasi Gaji
RM 7.000 – RM 9.000
Live Update
7 Juli 2026
Batas Akhir
7 Jul 2027

Deskripsi Pekerjaan

Join FWD Malaysia's innovative team as a Senior Executive specializing in Economic Capital and Special Projects. This pivotal role requires you to drive financial resilience through advanced solvency and liquidity stress testing methodologies, ensuring regulatory compliance while supporting strategic decision-making. You'll collaborate with cross-functional teams to deliver critical financial analysis for high-impact initiatives, developing robust economic capital models that quantify risk exposure and optimize capital allocation.

The position offers an opportunity to shape FWD Holding's financial strategy by analyzing complex market scenarios, designing stress testing frameworks, and producing actionable insights for executive leadership. Your work will directly influence the company's risk management framework and support long-term growth objectives in the dynamic insurance sector.

We seek a detail-oriented professional with expertise in financial modeling and regulatory frameworks to join our Kuala Lumpur-based team. This role combines technical rigor with strategic thinking, offering significant career development in a rapidly evolving fintech environment.

Tanggung Jawab

  • Lead solvency and liquidity stress testing deliverables for FWD Holding
  • Conduct financial analysis for strategic projects and capital planning initiatives
  • Develop and maintain economic capital models aligned with regulatory requirements
  • Prepare comprehensive risk reports for senior management and stakeholders
  • Collaborate with cross-functional teams to implement risk mitigation strategies
  • Analyze market trends and regulatory changes affecting capital requirements
  • Support special projects requiring advanced financial modeling expertise

Kualifikasi

  • Bachelor's degree in Finance, Actuarial Science, Economics, or related field
  • Minimum 5 years of experience in insurance financial services or risk management
  • Proficiency in economic capital modeling and stress testing methodologies
  • Strong analytical skills with advanced Excel and data visualization capabilities
  • Knowledge of Solvency II, ICAAP, and regulatory reporting frameworks
  • Experience with financial modeling tools (Python, R, or SAS preferred)
  • Excellent communication skills for presenting complex financial concepts

Keahlian yang Dibutuhkan

Financial Analysis Risk Management Stress Testing Economic Capital Modeling Insurance Regulation Financial Modeling Strategic Planning Regulatory Compliance

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