A leading business in the London non-life insurance market is seeking an Investment Risk Analyst to join their expanding team.
There is an increasing concentration on investment returns due to the soft insurance market and as such there is a need grow this function. Working with the CIO, this position will be involved in: managing the ESG calibration and output data; develop/enhance asset models; have input into the group internal model with control of the asset module; conduct market risk analysis; continually research market risk developments; develop accurate risk reporting to influence investment decisions and help manage third party relationships.
This role will suit a part to newly qualified actuary with knowledge of asset risks and the importance of this area within an insurer. The successful applicant could be working in a non-life risk or investment team; or an investment consultancy or manager with an interest in moving into the non-life insurance market.
This is an excellent opportunity to be part of a growing area with the GI market.