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Financial Risk Manager
2 months ago
At Signet Resources, we are seeking a highly skilled Financial Risk Manager to join our team. As a key member of our risk management function, you will play a critical role in advising on the financial risks of the company.
Key Responsibilities:- Financial Risk Advisory: Provide expert advice on financial risks to senior management and the Board, ensuring that the company's risk appetite is aligned with its strategic objectives.
- Risk Review and Reporting: Conduct thorough reviews of project, commercial, and strategic proposals, including Bulk Purchase Annuity deals and acquisition activity, to identify potential financial risks.
- Financial Risk Management: Develop, review, and monitor financial risk appetites, limits, and scenarios, including the design of stress and scenario testing as part of the ORSA process.
- Risk Reporting and MI: Produce and develop risk reporting, management information packs, and other papers for the Board and relevant committees.
- Matching Adjustment Oversight: Provide oversight and review of Matching Adjustment-related risks, ensuring that they are properly identified and managed.
- Research and Analysis: Conduct research, troubleshooting, fact-finding, and second-line risk reviews, producing reports on findings and recommendations in consultation with stakeholders.
- Risk Assessments and Deep Dives: Lead on risk assessments and deep dives to provide assurance on risks and controls to manage financial risks, including credit risks.
- Financial Risk Oversight: Provide oversight on financial risks and work with the first line to ensure the effectiveness of frameworks and approaches that identify, monitor, and manage financial risks, including investment risks.
- Ratings and Validation: Work with the first line to provide oversight on the application of ratings to assets and provide independent review where needed.
- ORSA Report Content: Prepare ORSA report content and review content prepared by the first line.
- Actuarial Assumptions and Methodologies: Perform second-line review of key actuarial assumptions and methodologies, including support for independent validation of aspects of any internal model development.
- Financial Analysis and Reports: Support and perform second-line review of financial analysis and reports prepared by the first line.
- Enterprise Risk Oversight: Perform broader enterprise risk oversight and support the Chief Risk Officer in maintaining an effective Enterprise Risk Management Framework and Risk Appetite Framework.
- Qualified Actuary: Must be a qualified actuary with experience in the financial services industry, particularly in the life industry or pensions funds/investments.
- Financial Services Experience: Must have experience of the regulatory environment in the UK and a strong understanding of investments within the life or pensions industry, especially credit risk and illiquid assets.
- Previous Risk Management Experience: Must have previous risk management experience, either first or second line.
- Chief Risk Officer