Manager/Senior Manager, Investment Finance
MetLife Lihat semua pekerjaan
- Kuala Lumpur
- Tetap
- Sepenuh masa
- Lead complex, high-impact scenario analysis, stress testing, and sensitivity assessments to support senior management, regulatory engagements, and regional investment decisions.
- Interpret and challenge key drivers of financial movements (e.g. NII, reinvestment strategy, yield, FX, capital impacts), ensuring clear linkage to business strategy.
- Translate complex outputs into executive-level narratives, highlighting risks, opportunities, and trade-offs.
- Act as a thought partner to senior finance and investment leadership on forward-looking insights.
- Own projection framework governance, ensuring consistency, scalability, and robustness across markets.
- Lead process transformation initiatives, including automation, standardisation, and control enhancement across projection cycles.
- Identify structural weaknesses, data gaps, and model limitations; sponsor and drive sustainable solutions.
- Partner with Actuarial, NII, Regional FP&A, and Technology teams to align model logic, assumptions, and reporting outputs.
- Set standards for documentation, controls, and model change governance.
- Serve as the senior investment finance contact for country teams (Japan, Korea, and other Asia countries), providing leadership on methodology, assumptions, and interpretation.
- Manage and resolve complex, ambiguous issues requiring judgment across finance, actuarial, and investment domains.
- Influence alignment across regions, balancing local market nuances with regional consistency.
- Support regional leadership discussions, reviews, and escalations.
- Provide oversight and challenge of BAU projection cycles, ensuring quality, timeliness, and control integrity.
- Review key outputs, trends, and variances; ensure issues are identified early and addressed appropriately.
- Act as escalation point during peak cycles or regulatory submissions.
- Provide senior oversight on Net Investment Income projections, including impacts from reinsurance structures.
- Guide understanding of reinsurance impacts on asset balances, reinvestment flows, and yield attribution.
- Ensure alignment of reinsurance cashflow treatment across actuarial and finance models.