Please enable JavaScript.  This webapp requires JavaScript to work at its best.

Financial Market Risk Manager

Applications for this role are now closed. View similar roles here.
The details

Posted:

Arthur Financial is delighted to partner with a highly successful and renowned new international speciality insurer to secure a Financial Market Risk Manager reporting in the Head of the function.  The role based in their London office, will help provide risk oversight of the Group’s investment portfolios as well as any financial risk arising from the business.
 
You will work in collaboration with the 1st line Investment team, supporting their portfolio management and strategy from a Risk perspective.  You will work closely with Capital and wider actuarial functions, supporting the calibration and validation of the internal model.
 
A fantastic opportunity to join are/insurer still regarded as an exciting green field business, without legacy issues.
 
The successful candidate is likely to have 5+ years Financial Risk experience working within an insurance company or actuarial consulting.  You will have a strong understanding of cross asset classes, along with a sound understanding of risk management methodologies.
 
A great opportunity to help shape the team and join a rapidly growing business.
 
For further information including a detailed job spec, please do call Antony on 0203 587 7207 or email aw@arthur.co.uk

Applications Closed