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FTC: Financial Risk Manager

Actuarial Futures

London

On-site

GBP 60,000 - 90,000

Full time

20 days ago

Job summary

A leading London Market firm is seeking a qualified Financial Risk Manager for a fixed-term contract until the end of 2025. The successful candidate will have a strong background in financial risk management, with expertise in various risk areas, including underwriting and reinsurance. This role involves evaluating risk factors and embedding findings into the company’s strategic initiatives.

Qualifications

  • Qualified Financial Risk Manager (FIA/FFA/CFA).
  • Experience with risk management frameworks and Solvency II.
  • Knowledge of insurance liabilities and various risks in underwriting, reserving, catastrophe, and reinsurance.

Responsibilities

  • Identify and evaluate risk factors faced by the business.
  • Provide oversight and challenge to various functions responsible for different risks.
  • Embed risk analysis into strategic initiatives of the business.

Skills

Risk analysis
Financial risk management
Influencing skills

Job description

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Are you a qualified Financial Risk Manager (FIA/FFA/CFA), looking for your next fixed term contract opportunity within a leading London Market firm?

Then look no further as Star Actuarial is representing the ideal role for you.

In this key position running until the end of 2025, you will identify and evaluate any risk factors which the business faces, including: underwriting, reserving, catastrophe exposure and reinsurance risks.

You will also provide detailed oversight and challenge for the various functions responsible for different risks, making recommendations for improvements in the control environment.

In addition, you will use your expertise to embed your risk analysis and findings into the overall strategic initiatives of the business.

With knowledge of insurance liabilities, the successful candidate will possess detailed risk and financial risk management experience.

You will also have experience of risk management frameworks and methodology with knowledge of
Solvency II, coupled with well-honed influencing skills.

Experience of one or more of the risks in the scope of the role (underwriting, reserving, catastrophe, reinsurance) is essential.

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