Financial Market Risk Manager
- Employer
- Orange Malone
- Location
- London/Hybrid
- Salary
- Market salary with generous benefits and bonus
- Closing date
- 1 Jul 2022
- Reference
- 200773
View more
- Sector
- Banking and finance, General insurance, Hedge funds, Investment, Life insurance, Reinsurance, Risk management, Solvency II
- Contract Type
- Permanent
- Hours
- Full Time
- Experience/Function
- Qualified (executive), Qualified, Nearly qual (11+ exams)
A fast growing, greenfield insurer/reinsurer is looking for a Financial Market Risk Manager to support the risk oversight of the investment portfolios as well as any other financial risks.
You'll be working with the investment team supporting their portfolio management and strategy; the capital team, helping with the calibration and validation of the Internal Model and the actuarial team, maintaining the liability based benchmark for the asset portfolio.
Ideally you'll have prior 2nd line financial risk experience within insurance or consulting, a strong understanding of the asset classes, sectors and principals behind both systemic and non-systemic risk, a solid knowledge of risk based economic and capital models including SII and significant experience with quantitative risk modelling and stochastic models.
My client is a very well regarded employer that offers cutting edge benefits and an amazing office in the heart of the City. Please get in touch!
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