Financial Risk Manager
- Posted 2025年04月17日 16:41
- Salary Negotiable
- LocationCity of London
- Discipline 精算与风险
- ReferenceBH17042025
Job description
We have partnered with a leading general insurance group to recruit a Financial Risk Manager to join their Group Risk & Compliance function. This is a newly created role reporting to the Head of Financial Risk, offering the opportunity to play a key role in providing second-line oversight of financial risks across the organisation-including reinsurance, capital, reserving, and investment strategies. Key Responsibilities include but are not limited too:
Delivering second-line oversight and assurance over material financial risks through in-depth reviews and policy development.
Supporting the execution and independent validation of the Group ORSA process, stress testing, and capital planning activities.
Embedding and monitoring the Group's Model Risk Management Framework.
Collaborating with Finance and Actuarial teams to challenge key assumptions and surface emerging risks.
Participating in key governance forums, including the Reserving, Investment, and Finance Committees.
Contributing to risk reporting and supporting the preparation of materials for the Board and Executive Committee.
This is a great opportunity for a qualified or part-qualified actuary, or a financial risk professional with comparable experience, eager to step into a strategic oversight role. General insurance experience within a Solvency II and PRA-regulated environment is highly desirable. Apply below to find out more.
