1. What is a Asset Management Analyst at AIG Claims?
As an Asset Management Analyst at AIG Claims, you are at the intersection of institutional capital deployment and risk management. This role is pivotal for the firm’s ability to manage its vast insurance float, ensuring that the company’s investment portfolio is optimized to meet long-term liabilities while generating competitive risk-adjusted returns. You will not be performing traditional investment banking deal execution; rather, you will be focused on the analytical engine that drives portfolio construction and asset allocation across diverse asset classes.
Your work will involve deep-dive analysis into market trends, sector-specific valuation, and the quantitative assessment of risk. You will support senior investment professionals by providing the data and strategic insights necessary for high-stakes capital decisions. This role requires a balance of technical rigor—such as modeling and financial statement analysis—and the ability to communicate a coherent market outlook to stakeholders.
The environment is highly professional and analytical. You will collaborate with various desks to monitor performance, assess the impact of macroeconomic shifts on the portfolio, and refine strategies to manage the firm’s balance sheet. For a candidate with a passion for markets and a disciplined approach to quantitative analysis, this position offers a unique vantage point into how a global insurance leader protects and grows its capital.




