Senior Financial Market Risk Analyst

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Job Description

Senior Financial Market Risk Analyst – Insurance Sector

Location: London

Hybrid Working | Permanent Role


An exciting opportunity has arisen to join a forward-thinking, insurance group as a Senior Financial Market Risk Analyst. Based in London, this is a key role within the Group Risk team, offering broad exposure to financial market risk across a dynamic, international insurance environment.


What You'll Be Doing:

  • Overseeing periodic market risk reporting aligned to internal risk frameworks.
  • Providing second-line oversight of liability-based investment benchmarks across multiple entities.
  • Reviewing and validating credit and market risk assumptions used in capital modelling.
  • Supporting risk input into strategic investment planning and ORSA processes.
  • Leading regular and ad-hoc risk assessments, including deep dives and scenario analysis.
  • Monitoring liquidity risk metrics and helping enhance related frameworks.
  • Participating in due diligence for new investment opportunities and external managers.
  • Running risk control self-assessments and engaging stakeholders across the business.


What We're Looking For:

  • Strong background in financial market risk, ideally within insurance or investment sectors.
  • Solid understanding of capital modelling concepts and regulatory frameworks (e.g., Solvency II).
  • Proven ability to collaborate across functions and challenge constructively.
  • Quantitative mindset with experience in risk analysis and reporting.


If this sounds like role that would be interesting to you, apply here or reach out to tyler-rose.kellaway@arthur.co.uk for more info!

Location:
London
Category:
Finance And Insurance

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