- Страна
- США
- Зарплата
- 120 000 $ – 165 000 $
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Analyst/ Associate, KKR Insurance Solutions
Исключительная возможность для карьеры в одной из самых престижных инвестиционных компаний мира (KKR). Высокая базовая зарплата, работа в центре экспертизы и участие в стратегических проектах делают эту вакансию крайне привлекательной.
Сложность вакансии
Высокая сложность обусловлена необходимостью сочетать глубокие знания в актуарных расчетах, страховом регулировании и продвинутом финансовом моделировании на Python. Роль предполагает работу в условиях неопределенности и взаимодействие с высокоуровневыми стейкхолдерами.
Анализ зарплаты
Предлагаемый диапазон $120k – $165k полностью соответствует рыночным стандартам для позиций Analyst/Associate в сфере альтернативных инвестиций и страховых решений в Нью-Йорке. Верхняя граница диапазона является конкурентной для кандидатов с сильным опытом в Python и актуарных науках.
Сопроводительное письмо
I am writing to express my strong interest in the Analyst/Associate position within the Insurance Solutions team at KKR. With over two years of experience in portfolio management and a deep focus on insurance investment strategy, I have developed a robust understanding of asset-liability management (ALM) and the complex regulatory frameworks that govern insurance portfolios. My background in building sophisticated optimization engines and stress-testing models using Python and Excel aligns perfectly with KKR’s commitment to delivering actionable insights and technical excellence to global insurance partners.
In my previous roles, I have successfully translated complex quantitative data into strategic recommendations for senior stakeholders and clients. I am particularly drawn to KKR’s collaborative approach and its position as a global center of excellence for insurance. I am confident that my technical proficiency in financial modeling, combined with my ability to navigate the nuances of risk-based capital and accounting impacts, will allow me to contribute immediately to the commercial success of the Insurance Solutions platform.
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Описание вакансии
COMPANY OVERVIEW
KKR is a leading global investment firm that offers alternative asset management as well as capital markets and insurance solutions. KKR aims to generate attractive investment returns by following a patient and disciplined investment approach, employing world-class people, and supporting growth in its portfolio companies and communities. KKR sponsors investment funds that invest in private equity, credit and real assets and has strategic partners that manage hedge funds. KKR’s insurance subsidiaries offer retirement, life and reinsurance products under the management of Global Atlantic Financial Group. References to KKR’s investments may include the activities of its sponsored funds and insurance subsidiaries.
Team Summary
KKR Insurance Solutions delivers strategic portfolio solutions and actionable insights tailored to the needs of KKR’s prospective and existing insurance clients. The team partners with global insurers through a variety of engagements spanning across customized analyses and scalable thought leadership, helping them navigate the asset-liability management, accounting, and regulatory dynamics that are unique to insurance portfolios. By combining rigorous quantitative tools with deep subject-matter expertise, Insurance Solutions supports insurers in building robust and efficient portfolios aligned with their broader strategic objectives. In doing so, the team helps drive the commercial success of KKR’s platform with insurance companies while reinforcing KKR’s position as a trusted thought leader in the insurance sector.
Internally, Insurance Solutions serves as KKR’s insurance center of excellence globally. Partnering closely with Global Insurance Client Solutions, the team aims to deliver and continually enhance KKR’s investment platform for insurance clients. As part of the broader Portfolio Construction and Optimization function within Global Macro and Asset Allocation, the team leverages KKR’s firmwide investment expertise and asset allocation capabilities that support both the broader client base and the firm’s balance sheet. Insurance Solutions also works collaboratively with investment and product professionals across the KKR platform to design and implement investment solutions appropriate for insurance portfolios.
POSTION SUMMARY
The Insurance Solutions team is looking for an exceptionally talented individual at the Analyst/ Associate level for this high-visibility role with the following responsibilities:
- Develop, maintain and enhance the core analytical capabilities of the Insurance Solutions team, such as optimization / projection engines, stress testing models, regulatory capital integration, liability modelling and associated assumption sets and documentation; leverage and integrate complementary insurance or investment modeling capabilities across KKR as appropriate
- Support and deliver high-impact client engagements with KKR’s global insurance partners across strategic asset allocation, relative value analysis, risk-based capital modeling, and scenario analysis – translating rigorous analytics into actionable recommendations that drive commercial outcomes
- Support business development and platform growth, including RFP responses, client pitches, senior-level discussions and bespoke portfolio analyses, positioning KKR’s capabilities in a commercially compelling and technically differentiated manner
- Analyze publicly available insurer portfolio data for peer analysis campaigns, competitive intelligence, prospecting, and other strategic research; contribute to and lead analysis and thought leadership leveraging this data; streamline and enhance related workflows
- Partner with investment teams on solutions design and product positioning for insurance investors, incorporating economic, risk-based capital, ALM, accounting, and regulatory considerations
- Proactively monitor relevant insurance and investment industry developments, and contribute to thought leadership for internal and external audiences
- Collaborate seamlessly across the KKR platform, engaging stakeholders of different backgrounds and seniorities to ensure alignment, execution excellence and sustained commercial success with insurance partners
QUALIFICATIONS
- 2+ years of experience in asset / portfolio management, insurance investment strategy, or actuarial functions, ideally with direct experience related to insurance general account management and capital considerations
- Strong quantitative and financial modeling capabilities in Python and Excel; knowledge of SQL and experience working with large data sets and workflows automation a plus
- Solid understanding of asset-liability management principles, including liability cash flow considerations, surplus sensitivity, and accounting impacts on insurance portfolios
- Knowledge of market data and risk systems (Bloomberg, ICE, Factset, Pitchbook, Preqin, etc.) a plus
- Fundamental understanding of return drivers and risk factors across all asset classes relevant to insurance portfolios, including fixed income, equity, and real assets across public and private markets
- Experience translating analytical insights into actionable recommendations, including supporting client-facing engagements, RFPs, investment committees or other or commercial initiatives
- Sound judgement in balancing analytical rigor, practical investment considerations, and potentially limited available data to develop defensible models, assumptions, and conclusions
- Understanding of the ALM, regulatory, and accounting frameworks globally impacting insurance portfolio construction
- Strong interpersonal and partnership skills, including a desire and ability to engage and collaborate with a diverse set of stakeholders
- Clear and effective communication and presentation skills for both internal and external purposes to both technical and non-technical audiences
- Highly creative, autonomous and adaptive thinker that is comfortable operating in ambiguity and limited direction
This is the expected annual base salary range for this New York-based position. Actual salaries may vary based on factors, such as skill, experience, and qualification for the role. Employees may be eligible for a discretionary bonus, based on factors such as individual and team performance.
Base Salary Range
$120,000—$165,000 USD
KKR is an equal opportunity employer. Individuals seeking employment are considered without regard to race, color, religion, national origin, age, sex, marital status, ancestry, physical or mental disability, veteran status, sexual orientation, or any other category protected by applicable law.
KKR will provide reasonable accommodations as required by applicable federal, state, and/or local laws. Individuals seeking an accommodation for the application or interview process should email Benefits@kkr.com. Emails sent for unrelated issues, such as following up on an application, will not receive a response.
If you are a qualified individual with a disability or a disabled veteran, you may request a reasonable accommodation if you are unable or limited in your ability to use or access https://www.kkr.com/careers because of your disability. You can request reasonable accommodations by sending an email to Benefits@kkr.com. Only emails left for this purpose will be returned.
Massachusetts Applicants: It is unlawful in Massachusetts to require or administer a lie detector test as a condition of employment or continued employment. An employer who violates this law shall be subject to criminal penalties and civil liability. This notice applies only to applicants and employees who work or will work in Massachusetts, in accordance with applicable state law.
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Навыки
- Python
- Excel
- SQL
- Bloomberg
- FactSet
- Financial Modeling
- Asset-Liability Management
- Portfolio Management
- Risk Analysis
- Insurance Strategy
Возможные вопросы на собеседовании
Проверка понимания специфики страхового бизнеса и управления активами.
Как изменения в регуляторных требованиях к капиталу (например, RBC или Solvency II) влияют на стратегическое распределение активов страховой компании?
Оценка технических навыков моделирования.
Опишите ваш опыт разработки моделей оптимизации портфеля или стресс-тестирования на Python: с какими библиотеками вы работали и как обеспечивали точность данных?
Проверка знаний ALM.
Как вы подходите к моделированию обязательств (liability modeling) при построении портфеля, чтобы минимизировать риск несоответствия активов и пассивов?
Оценка способности работать с данными.
Какие источники рыночных данных (Bloomberg, Factset и др.) вы считаете наиболее полезными для анализа конкурентной среды среди страховщиков и почему?
Проверка коммуникативных навыков.
Расскажите о случае, когда вам нужно было объяснить сложный аналитический вывод нетехническому клиенту или руководителю. Каков был результат?
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- Страна
- США
- Зарплата
- 120 000 $ – 165 000 $