Financial Risk Manager
- Posted 17 April 2025
- Salary Negotiable
- LocationCity of London
- Discipline Actuarial & Risk
- ReferenceBH17042025
Job description
We are working with a leading general insurance group to recruit a Financial Risk Manager to support their Risk & Compliance function at group level. Reporting to the Head of Financial Risk, this newly created role will play a key part in providing 2nd line oversight of financial risks across the business, including reinsurance, capital, reserves, and investment strategies. Key Responsibilities include but are not limited to:
- Providing 2nd line oversight and assurance of material financial risks, including deep dive reviews and policy updates.
- Supporting the delivery and validation of the Group ORSA process, stress testing, and capital planning.
- Embedding and overseeing the Group's Model Risk Management Framework.
- Liaising closely with Finance and Actuarial teams to challenge key assumptions and identify emerging risks.
- Attending and contributing to forums including Reserving, Investment, and Finance Committees.
- Supporting risk reporting and contributing to Board and Executive Committee papers.
This is an exciting opportunity for a qualified or part-qualified actuary or a financial risk professional with equivalent experience-looking to take on a strategic oversight role within a forward-thinking and collaborative environment. General insurance experience within a Solvency II and PRA-regulated context is highly desirable. Apply below to learn more about this opportunity.
