New York, New York, United States
Key technologies and capabilities for this role
Common questions about this position
The base salary range is determined through an analysis of similar positions in the external labor market, with base pay being just one component of compensation.
This information is not specified in the job description.
Candidates need a Bachelor’s degree in Finance, Economics, Accounting or similar, minimum 4 years relevant experience in risk management, finance or related fields, strong analytical skills, proficiency in Excel with financial modeling or programming (preferably Python), and strong communication skills.
This is a highly collaborative position working with various parts of the Risk team as well as Treasury, Derivatives, Reinsurance Operations and Investments in a fast-paced environment.
An ideal candidate combines strong analytical and communication skills with quick learning ability, good attention to detail, and relevant experience in insurance or investment industries; treasury or cash management experience is beneficial.
Provides capital and risk management solutions
Global Atlantic Financial Group specializes in providing capital and risk management solutions for global retirement and life insurance companies. They offer products like annuities, which provide a steady income stream for retirees, and focus on building long-term partnerships by understanding their clients' financial goals. The company generates revenue through fees and premiums from their financial products and emphasizes a culture of integrity and commitment to clients and communities. Their goal is to create tailored solutions that meet the specific needs of their clients.