Are you a qualified risk & capital specialist (CFA/FIA/FFA), seeking to make your mark within the London Market?
Then this is a fantastic opportunity to join a major global organisation, where you will take the next step on your career ladder within a diverse, inclusive and collaborative environment and be supported in achieving excellence of performance.
To be successful in the role, you will be possess expert knowledge of risk management/modelling and of financial markets, including the role of different asset classes and derivatives in insurers’ investment portfolios.
You will also have a breadth of experience of risk management frameworks and methodology with detailed knowledge and experience of Solvency II and current trends in UK regulation, coupled with a track record of delivery of strategic risk lead initiatives and subject matter authority.
In this key leadership role, you will contribute to the identification and assessment of the financial risks faced by the firm, in particular capital, investment and liquidity risks.
You will also provide robust risk oversight and challenge to the functions responsible for managing those financial risks, making recommendations for improvements in the control environment where necessary.
In addition, you will assist in the validation of the Internal Model by leading the validation of the Investment Risk Model and the appropriateness of financial market assumptions derived from the Economic Scenario Generator.
An incredible chance to play an integral part in the achievement of the future vision and strategy of a major business.
Please contact us to discuss this vacancy or for an informal discussion regarding your career goals. We are very happy to perform bespoke research on your behalf.
Louis Manson, Managing Director
M : +44 (0)7595 023 983
T : +44 (0)20 7868 1900
E : email@example.com