What are the responsibilities and job description for the Bond Portfolio Risk Manager position at AXA XL Ltd?
Company Overview: AXA XL Ltd is a leading global provider of insurance and reinsurance solutions. Our Commercial Bond unit is dedicated to delivering exceptional service to our clients, and we are seeking a skilled Bond Portfolio Risk Manager to join our team.
Salary: The estimated annual salary for this role is $120,000 - $180,000, depending on experience and qualifications.
Job Description: As a Bond Portfolio Risk Manager, you will be responsible for developing and maintaining business relationships with agencies and/or brokers to drive sales growth and distribution expansion. You will independently underwrite accounts based on authority level granted to the role and underwriting appetite. Key responsibilities include monitoring market conditions, analyzing performance of portfolio and individual account performance, and developing strategies to drive profitable growth.
Required Skills and Qualifications: To succeed in this role, you will need excellent communication and analytical skills, as well as the ability to work effectively in a team environment. A bachelor's degree in a relevant field, such as finance or business administration, is required, along with at least 5 years of experience in a similar role.
Benefits: As an employee of AXA XL Ltd, you can expect a comprehensive benefits package, including health insurance, retirement savings plan, and paid time off.
Salary : $120,000 - $180,000