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Interim Financial Risk Manager

The details


Arthur is proud to partner with our client, an specialty reinsurance firm with an excellent reputation in the market, on this search for an Interim Financial Market Risk Manager to work in their City of London offices on an initial 3-6 month basis. 
Covering a gap created by a team member leaving the market, this role will report directly into the Head of Financial Risk, and will involve working with stakeholders across the business at all levels of seniority to provide effective financial risk challenge and includes:

  • Partnering with the investment team to direct their strategy from a risk management perspective and support the management of their portfolios overal
  • Reviewing the business’ asset portfolio and contributing towards validation and calibration of the internal model, working closely with the actuarial team throughout
  • Contributing to elements of the ORSA report covering market, liquidity and credit risk including stress & scenario testing
  • Reviewing the company’s investment plan and offering risk management opinion
  • If possible, working on the development of the company's MSCI risk management tool

Our client is open to the candidate coming into this role however you will need to display a good understanding of this investment space, ideally with prior experience of a similar role in the insurance market. In addition, you will need to showcase the ability to communicate with stakholders with varying degrees of technical capability and to offer effective challenge when needed

If you believe you have the skill set to apply to this contract that falls inside of IR35 or would like to discuss any aspects of this position in more detail, please get in touch through the links below or directly – or call 0203  587 7207

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