VP of Strategic Risk Management

2 weeks ago


Columbus, Ohio, United States Nationwide Insurance Full time
Position Overview:
As a vital member of the Finance and Internal Audit division at Nationwide, you will discover limitless opportunities for growth and development across various fields including Advanced Analytics, Investments, Actuarial Science, Accounting, and Risk Management. Join us in shaping your career path with Nationwide, where our commitment to our customers drives everything we do.

Role Summary:
In the capacity of Vice President of Financial Risk Management and Governance, you will be responsible for establishing investment strategies for the general account and managing cash processes. Your expertise will guide the setting of actuarial assumptions across life and annuity sectors, integrating theoretical knowledge with practical applications to oversee pricing, risk management, modeling, and capital management.

Key Responsibilities:
  • Direct and oversee critical risk governance processes, including the Product Risk Committee and Model Risk Committee.
  • Evaluate and manage aggregate Asset Liability Management risks, encompassing interest rate, credit, and equity risks.
  • Lead the Liquidity Risk management function, collaborating with Investments and Treasury to assess liquidity risks.
  • Supervise the Federal Home Loan Bank spread lending program, optimizing asset selections.
  • Analyze growth, profitability, and risk factors for products, providing strategic recommendations to management.
  • Develop and maintain a robust theoretical framework for risk management, including risk limits and pricing guidelines.
  • Oversee reporting of statutory and risk capital results, driving stress testing and capital management activities.
  • Collaborate with Enterprise Risk Management and rating agencies to contextualize results.
  • Engage with external organizations to implement advanced risk management practices.
  • Manage team performance, including training, development, and organizational planning.

Reporting Structure:
Reports directly to the Chief Actuary, leading a team of direct and indirect reports.

Qualifications:
Education: A degree in Mathematics, Finance, Actuarial Science, or a related field is preferred.
Certification: Fellow of the Society of Actuaries (FSA) and Member of the American Academy of Actuaries (MAAA) are required.
Experience: A minimum of ten years in actuarial or related fields is expected.
Skills: Comprehensive knowledge of risk management practices, excellent communication abilities, and a strong understanding of the financial services landscape are essential.

Work Environment:
This position is typically office-based with some travel requirements. The role is classified as exempt from overtime eligibility.

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