Senior Financial Risk Manager

Senior Financial Risk Manager

Full-Time 43200 - 72000 Β£ / year (est.) No working from home possible
A

At a Glance

  • Tasks: Lead financial risk management and collaborate with senior leadership on key strategies.
  • Company: Join a top-tier insurance organisation known for its innovative approach to risk management.
  • Benefits: Enjoy competitive salary, professional development opportunities, and a dynamic work environment.
  • Other info: Regular exposure to the UK Executive team and cross-functional collaboration.
  • Why this job: Make a real impact by influencing high-level decisions and shaping risk strategies.
  • Qualifications: Proven experience in financial risk management and strong analytical skills required.

The predicted salary is between 43200 - 72000 Β£ per year.

London | Global Specialty Insurance Market

An exciting opportunity has arisen within a high-growth global specialty insurer for an experienced Financial Market Risk professional to join a highly visible and commercially focused Risk function.

This role offers broad exposure across investment, treasury, actuarial, and capital management activities, partnering closely with senior stakeholders to support and challenge financial market risk decisions across the business. The successful individual will operate in a lean, agile environment with significant visibility to executive leadership and genuine influence on strategic decision-making.

Key Responsibilities

  • Partner closely with Investments, Treasury, Actuarial, Capital Modelling, and Finance teams on financial market risk matters.
  • Support oversight of market, credit, liquidity, and investment risks across the balance sheet.
  • Review and challenge investment strategy, portfolio exposures, and new asset class proposals.
  • Produce risk opinions, deep-dive analysis, and committee reporting for senior stakeholders.
  • Contribute to stress testing, scenario analysis, ORSA, and capital management activities.
  • Support oversight and validation of investment and credit risk assumptions within capital models.
  • Engage with internal and external investment managers regarding portfolio risk and market developments.
  • Represent Financial Market Risk within governance forums and committee meetings.

Candidate Profile

We are keen to speak with individuals currently operating within insurance, asset management, pensions, or broader financial services environments who possess strong financial market risk expertise and a commercial mindset.

Experience sought includes:

  • Financial market risk, investment risk, or credit risk management experience.
  • Strong understanding of fixed income and insurer investment portfolios.
  • Exposure to ALM, stress testing, liquidity risk, or capital modelling activities.
  • Knowledge of Solvency II or economic capital frameworks.
  • Strong analytical capability alongside excellent stakeholder engagement skills.
  • Experience presenting within governance or committee environments.
  • Ability to operate effectively within a fast-paced, collaborative environment.

This is an excellent opportunity for an ambitious risk professional seeking broader strategic exposure and the chance to influence risk management within a growing international insurance platform.

#J-18808-Ljbffr

Senior Financial Risk Manager employer: Arthur Recruitment

Join a leading insurance organisation that prioritises employee development and fosters a collaborative work culture. As a Senior Financial Risk Manager, you will benefit from competitive remuneration, comprehensive training programmes, and the opportunity to work alongside industry experts, all while being part of a dynamic team that values innovation and strategic thinking in the heart of the UK.

A

Contact Details:

Arthur Recruitment Recruitment Team

StudySmarter Expert Advice🀫

We think this is how you could land Senior Financial Risk Manager

✨Tip Number 1

Network with professionals in the insurance and financial risk sectors. Attend industry events or webinars where you can meet people who work in similar roles. This can help you gain insights into the company culture and expectations, making you a more attractive candidate.

✨Tip Number 2

Familiarise yourself with the latest trends and regulations in financial risk management. Being knowledgeable about current industry standards will not only boost your confidence but also demonstrate your commitment to staying ahead in the field during interviews.

✨Tip Number 3

Prepare to discuss specific examples of how you've successfully managed risk in previous roles. Highlighting your experience with underwriting, capital, market, and credit risk will show that you have the practical skills needed for this senior position.

✨Tip Number 4

Research the company's current risk management framework and be ready to suggest improvements or new strategies. Showing that you've done your homework and have ideas for enhancing their processes can set you apart from other candidates.

We think you need these skills to ace Senior Financial Risk Manager

Financial Risk Management
Underwriting Knowledge
Capital Management
Market Risk Analysis
Credit Risk Assessment
Stakeholder Engagement
Cross-Functional Collaboration

Some tips for your application 🫑

Tailor Your CV:Make sure your CV highlights relevant experience in financial risk management, particularly in underwriting, capital, market, and credit risk. Use specific examples to demonstrate your expertise and achievements in these areas.

Craft a Compelling Cover Letter:In your cover letter, express your enthusiasm for the role and the company. Discuss how your background aligns with the responsibilities of supporting the CRO and enhancing the Financial Risk Management framework. Be sure to mention any cross-functional collaboration experience.

Highlight Leadership Skills:Since this is a senior role, emphasise your leadership skills and experience in influencing decision-making at high levels. Provide examples of how you've guided teams or shaped risk mitigation strategies in previous positions.

Showcase Industry Knowledge:Demonstrate your understanding of industry best practices in financial risk management. Mention any relevant certifications or training that showcase your commitment to staying updated on trends and regulations in the insurance sector.

How to prepare for a job interview at Arthur Recruitment

✨Understand the Financial Risk Landscape

Make sure you have a solid grasp of the current financial risk landscape, particularly in insurance. Familiarise yourself with key concepts like underwriting, capital, market, and credit risk, as these will be central to your discussions.

✨Showcase Cross-Functional Collaboration

Prepare examples that demonstrate your experience working cross-functionally with teams such as Actuarial, Underwriting, and Finance. Highlight how you've successfully guided risk appetite and shaped risk mitigation strategies in previous roles.

✨Engage with the Executive Perspective

Since this role involves regular exposure to the UK Executive team, be ready to discuss how you can influence decision-making at the highest level. Think about how you can align risk management strategies with business objectives and present your ideas confidently.

✨Align with Industry Best Practices

Research the latest industry best practices in financial risk management. Be prepared to discuss how you would ensure alignment with these practices in your role, and consider any innovative approaches you could bring to the table.