Salary - Open to discussion
Location - London
Hybrid - 3 days per week
Lutine Bell are currently supporting a well-established Global Insurance firm based in London to appoint a Financial Risk Manager.
Key Responsibilities:
* Strategic Risk Leadership: Support and deputise for the CRO, shape the risk management strategy, and deliver the annual risk plan.
* Governance & Oversight: Represent risk at key committees and oversee the management of financial risks (capital, liquidity, reserves, pricing, investments, reinsurance).
* Provide Oversight & Challenge of the company’s underwriting portfolio, business plans, balance sheet, investment portfolio, and Solvency II (standard formula) SCR calculation.
* Risk Appetite & Frameworks: Lead on setting, cascading, and monitoring risk appetite; ensure effective enterprise risk management practices.
* Advisory & Culture: Provide guidance, training, and leadership across the business, embedding risk awareness and supporting special projects.
Requirements:
* At least 4 years’ work experience of finance, actuarial, risk management or related work in general insurance market
* Broad finance, actuarial, or risk management background who is familiar with the day-to-day operations of an Insurance company
* Good understanding of financial risk management methods and principles
* Good knowledge of the requirements of Solvency II and capital modelling
* Bachelor's degree or above in finance, economics, risk management, actuarial or related fields