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FTC (9-12 months) Financial Risk Manager

Reference: Star9127
  • £ excellent
  • London / hybrid 2 days p/w office-based
  • Fixed-term Contract
  • Non-life

Are you a qualified risk manager (FIA/FFA/CFA) looking for a 12-month FTC within a global London market firm?

Then this is a fantastic opportunity to 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 formal risk opinions, as required, to outline potential impacts on the risk profile and control environment.

In addition, you will assist in the validation of the Internal Model (with a particular focus on the Investment Risk Model) and the appropriateness of financial market assumptions derived from the Economic Scenario Generator.

With a proven Track record of delivering strategic risk lead initiatives, the successful candidate will possess extensive experience of risk management frameworks and methodology with detailed knowledge and experience of Solvency II and current trends in UK regulation.

Experience in risk and capital modelling including Economic Scenario Generators also required.

A fantastic opportunity.

Your Consultant

Richard Foulds Associate Partner (Non-life & Life Insurance)

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