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Manager, Risk Modeling Services, PricewaterhouseCoopers LLP, New York, NY. Analyze statistical data and financial models to provide actuarial support to insurers, asset and wealth managers, private equity firms, banks and regulators. Build and implement economic scenario generators and model calibration techniques. Advise on financial instrument modelling, business plan modelling, regulatory, rating agency and economic capital modelling, mergers and acquisitions modelling, risk management modelling, company structuring, new legislation and modelling and reporting process automation and efficiency. Apply technical expertise with actuarial process improvement, risk and capital management, value analyses, and financial reporting standards.
Must have a Bachelor’s degree or foreign equivalent in Actuarial Science, Statistics, Economics, Mathematics, Financial Engineering, or a related field, plus 5 years of post-bachelor’s related work experience.
In the alternative, the employer will accept a Master’s degree or foreign equivalent in Actuarial Science, Statistics, Economics, Mathematics, Financial Engineering, or a related field, plus 3 years of related work experience.
Must have at least one year of experience with each of the following:
Working with analytical software and tools including Python, SAS, R, SQL and/or other applications, such as Microsoft Excel/VBA and/or Access;
Building and implementing stochastic models, including monte-carlo simulation models for valuation and pricing of complex financial instruments or insurance liabilities;
Building and implementing models and analytics for insurance company asset allocation, asset liability management, transaction pricing and regulatory and rating agency capital; and
Model documentation and model validation report writing.
80% telecommuting permitted. Must be able to commute to the designated local office.
Travel requirement(s): Domestic and/or international travel up to 20% required.