채용
- Risk Manager
- KR07AE
We’re determined to make a difference and are proud to be an insurance company that goes well beyond coverages and policies. Working here means having every opportunity to achieve your goals – and to help others accomplish theirs, too. Join our team as we help shape the future.
Risk Manager, ALM Credit and Market Risk
The Risk Manager will join the ALM, Credit and Market Risk team and be responsible for assessing investment capital considerations and monitoring The Hartford’s exposure to interest rate, credit, equity, and foreign exchange risks. This role supports effective risk oversight by ensuring investment risk exposures remain within established risk management parameters across varying economic conditions.
The position requires a strong understanding of an insurance company balance sheet and solid knowledge of fixed income and equity asset classes. The Risk Manager will partner closely with Enterprise Risk Management, HIMCO, Treasury, Finance, and the Insurance Businesses to analyze and communicate capital and income considerations under various scenarios. Key responsibilities include maintaining risk models and presenting analytical insights to internal stakeholders.
This position is based in Hartford, CT (Home Office).
Responsibilities:
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Own and lead the investment capital stress testing framework, including model governance, assumption oversight, and ongoing enhancements.
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Forecast capital impacts under prescribed, market‑driven stress scenarios using multiple rating agency and NAIC frameworks.
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Quantify capital sensitivity across GAAP, Statutory, and Economic accounting perspectives under market stress scenarios.
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Apply investment and capital markets expertise particularly in fixed‑income securities and derivatives to assess portfolio positioning and risk exposures.
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Analyze interest rate, credit spread, and equity stress scenarios and communicate impacts on financial performance.
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Assess asset impact under climate stress scenarios through validation of key modeling assumptions.
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Lead and mentor one to two analysts while supporting the development and enhancement of risk, capital, and ALM models aligned with enterprise risk management objectives.
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Lead risk monitoring and analysis in response to market events, communicating insights to a broad range of stakeholders.
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Leverage AI to enhance risk analytics and strengthen stress testing capabilities.
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Communicate effectively with Lines of Business, HIMCO, and Corporate Finance, translating analytical results into clear, actionable insights for stakeholders.
Qualifications:
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A minimum of five years of professional experience in investment risk role focused on fixed income is ideal. Experience in corporate finance, actuarial, investment, or a related field may also be considered.
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Excellent statistical and quantitative background, including programming and modeling skills (e.g., R).
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Foundational knowledge of pricing, valuation, financial and risk management models.
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Organized and detail oriented with an ability to adjust to multiple projects and shifting priorities.
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Excellent communication skills with senior leaders and key business partners including the ability to summarize complex analysis for diverse audiences.
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B.A. or B.S. in finance or another quantitative discipline.
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Master’s degree in a quantitative discipline, MBA, and/or actuarial credentials or progression toward credentials (ASA, ACAS) and/or a C.F.A. is a plus.
As a condition of your employment for HIMCO, you will be required to affirm to HIMCO’s Code of Ethics and understand that you will be required to comply with the disclosure of accounts, holdings and pre-clearance of trades for the accounts of you and your household family members as more fully described in the Code of Ethics Key Points. If you will be deemed to be a “Covered Associate” under HIMCO’s Pay to Play Policy, you will also need to disclose all political contributions that you have given within the past 2 calendar years.
Compensation
The listed annualized base pay range is primarily based on analysis of similar positions in the external market. Actual base pay could vary and may be above or below the listed range based on factors including but not limited to performance, proficiency and demonstration of competencies required for the role. The base pay is just one component of The Hartford’s total compensation package for employees. Other rewards may include short-term or annual bonuses, long-term incentives, and on-the-spot recognition. The annualized base pay range for this role is:
$112,400 - $168,600
Equal Opportunity Employer/Sex/Race/Color/Veterans/Disability/Sexual Orientation/Gender Identity or Expression/Religion/Age
About Us | Our Culture | What It’s Like to Work Here | Perks & Benefits
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Hartford 소개

Hartford
BootstrappedThe Hartford Insurance Group, Inc., known as The Hartford, is a U.S.-based insurance company. The Hartford is a Fortune 500 company headquartered in its namesake city of Hartford, Connecticut. It was ranked 162nd in Fortune 500 in 2024.
51-200
직원 수
Paris
본사 위치
리뷰
3.7
10개 리뷰
워라밸
4.2
보상
2.3
문화
4.1
커리어
2.8
경영진
3.2
68%
친구에게 추천
장점
Good work-life balance and flexible hours
Strong team culture and supportive colleagues
Excellent health benefits and vacation time
단점
Non-competitive salary and pay
Limited career advancement and growth opportunities
Poor communication from upper management
연봉 정보
59개 데이터
Mid/L4
Senior/L5
Director
Mid/L4 · Hospitalist
7개 리포트
$287,500
총 연봉
기본급
$250,000
주식
-
보너스
-
$275,080
$287,500
면접 경험
3개 면접
난이도
3.3
/ 5
소요 기간
14-28주
경험
긍정 0%
보통 67%
부정 33%
면접 과정
1
Phone Interview
2
Video Interview
3
Analyst Interview
4
Trader Interview
5
Vice President Interview
뉴스 & 버즈
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3d ago
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·
3d ago
Water main break closes highway in Hartford Saturday morning - NBC Connecticut
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News
·
3d ago