Senior Financial Risk Manager in London

Senior Financial Risk Manager in London

Full-Time 80000 - 100000 £ / year (est.) No working from home possible
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At a Glance

  • Tasks: Partner with teams on financial market risk and influence strategic decisions.
  • Company: High-growth global specialty insurer with a dynamic culture.
  • Benefits: Competitive salary, career growth, and significant visibility to leadership.
  • Other info: Fast-paced environment with opportunities for collaboration and influence.
  • Why this job: Make a real impact in risk management within a growing international platform.
  • Qualifications: Experience in financial market risk and strong analytical skills.

The predicted salary is between 80000 - 100000 £ per year.

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.

Senior Financial Risk Manager in London employer: Energy Jobline ZR

Join a dynamic and innovative global specialty insurer in London, where you will thrive in a collaborative and agile work culture that values your expertise and insights. With a strong focus on employee growth, we offer extensive opportunities for professional development and the chance to influence strategic decision-making at the highest levels. Enjoy a competitive benefits package and the unique advantage of working in a vibrant city known for its financial services sector.

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Contact Details:

Energy Jobline ZR Recruitment Team

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

Financial Market Risk Management
Investment Risk Management
Credit Risk Management
Fixed Income Knowledge
Asset Liability Management (ALM)
Stress Testing
Liquidity Risk Management