Investor Relations
axaxl
finance
RISK MANAGEMENT
Job Description:
This role offers an exciting opportunity to work independently on portfolio analysis, investor communications, and transaction support. You will play a key role in managing core processes, providing insights, and contributing to the growth and development of our alternative capital platform.
Daily Responsibilities:
nvestor Reporting & Analytics: Lead the preparation and delivery of detailed investor reports for large and strategic alternative capital transactions. Develop and maintain analytical frameworks to explain portfolio performance and risk drivers. Collaborate with other members of Alternative Capital team on reports and answer ad-hoc investor queries.
Modeling & Transaction Support: Build and refine financial models to help evaluate transaction economics. Support structuring efforts and due diligence for new investors, providing quantitative insights and recommendations.
Data & Platform Management: Manage data workflows, resolve data issues, and contribute to the ongoing development of the alternative capital platform. Ensure data integrity and streamline reporting processes.
Portfolio Construction & Management Support: Take ownership of supporting portfolio management activities, including data collection, performance tracking, and ensuring compliance with strategic guidelines.
Performance & Risk Analysis: Conduct independent performance attribution and risk analysis, providing actionable insights to internal teams and investors. Respond efficiently and thoroughly to investor inquiries.
Cross-Functional Collaboration: Work autonomously with underwriters, actuaries, finance, and operations teams to source data, develop analytics, and support strategic projects.
Innovation & Process Improvement: Identify opportunities for automation and process enhancements. Lead initiatives to incorporate new tools, including AI-driven solutions, to optimize reporting and analysis capabilities. Help maintain and improve analytics systems for ongoing use.
Job Requirements:
Bachelors degree in mathematics, sciences, engineering, finance, or related field; advanced degrees and certifications (e.g., actuarial, CFA) or progress toward certifications are a plus.
Experience in data analysis, financial modeling, or risk assessment, preferably within insurance, reinsurance, or alternative investments.
Proficiency in Excel (including macros / VBA) and programming languages such as SQL, MATLAB, or Python.
Proven ability to work independently, manage multiple priorities, and deliver high-quality outputs in a fast-paced environment.
Demonstrated expertise in building, enhancing, and troubleshooting complex financial models.
Solid understanding of catastrophe models, capital models, and risk quantification techniques.
Excellent communication skills, capable of explaining complex ideas clearly and confidently to internal teams and external investors.
Entrepreneurial mindset, innovative approach, and sense of accountability with a focus on continuous improvement.
Attention to detail and a hands-on approach to work.
Compensation:
The U.S. base salary range for this position is USD $ 118,300-177,600 USD
Job Location(s):
677 Washington Blvd., STAMFORD, US, 06902
Source:
Company Career Section
Competition:
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ITT is moving from White Plains, New York, to Washington Blvd. in Stamford.
