Head of Financial Risk
4 days ago
Head of Financial Risk (12 month fixed term, maternity cover)
We are currently looking for a Head of Financial Risk to be based in London on a full-time basis, reporting into the Head of Enterprise Risk Management.
This individual will drive good industry practices in terms of identification, assessment and management of financial risks and controls across Munich Re Specialty-Global Markets (MRS-GM) (including insurance, credit, capital, market, climate and liquidity risk), in support of the Head of ERM, alongside the Head of Non - Financial Risk.
Lead the independent validation process for the Munich Re Syndicate Limited (MRSL) Solvency II Internal Model, and confirm compliance with regulatory requirements (Solvency II and Lloyd's) in relation to the Internal Model.
Responsibilities:
- Lead the implementation and embedding of the Financial Risk framework setting out MRS-GM approach to identification, assessment and management of financial risks and controls in alignment with the MRS-GM enterprise risk management (ERM) framework, strategic objectives, Group and regulatory requirements.
For all MRS-GM businesses, ensure financial risk exposures and associated controls are appropriately monitored and reported on for the required management and legal entity governing bodies to ensure strong business support on key decisions, the appropriate identification and management of key and emerging risks, and compliance with Munich Re, PRA, FCA and Lloyd's requirements. This includes:
providing effective and timely risk management support, challenge and opinions to the business including on strategic developments, change initiatives and new products;
- supporting the development, implementation and embedding of appropriate risk appetite and other metrics;
- supporting emerging risk assessments and scenario analysis activities;
- actively promoting close and harmonious working relationships across the business and developing deep subject matter expertise of specific business areas as required;
- reporting on the aggregate financial risk profile across MRS-GM including material risk exposures / position against risk appetite, effectiveness of associated control environment and material incidents;
supporting ORSA report production process
Review and challenge of validation of MRSL's internal capital model, including risk quantification and aggregation, using established techniques and methodologies.
- Member and/or attendee of governance, management bodies and committees, as appropriate and in support of the Head of ERM. Escalating high priority issues or key risks to the Head of ERM, as appropriate. Present and report on a holistic view of Financial Risks and controls to the Risk Committee and the Board.
- Deputise for the Head of ERM as a contact to the FCA, Lloyd's, Munich Re Group and other parties regarding Risk Management issues, as appropriate.
Knowledge and Skills
- Offers strong capital modelling experience and/or internal model validation experience
- Extensive experience working in the Non life/ General insurance industry, with Lloyd's and/or London market.
- Excellent report writing skills, experience of preparing reports and presentations for Senior management / Committee or Board review.
- Ability to tactfully and appropriately question and challenge the business at all levels (including Senior Management and Directors) and present considered and balanced risk opinions, findings and recommendations.
- Has strong communication skills
- Has knowledge of Solvency II, is familiar with Lloyd's and Bank of England requirements
- Quantitative university degree
- Ideally a qualified actuary (FIA) from UK or other recognized body/country
If you are excited about this role but your experience does not align perfectly with everything outlined, or you don't meet every requirement, we encourage you to apply anyway. You might just be the candidate we are looking for
-
Head of Financial Risk
4 days ago
London, Greater London, United Kingdom ERGO GROUP Full time £80,000 - £120,000 per yearLocationLondon, United KingdomJob typeFull-TimeWork modeHybridJob levelManagement & LeadershipJob ID11107CompanyMunich Re Specialty - Global MarketsEmployment typeTemporaryArea of expertiseActuarial & Risk ManagementHead of Financial Risk (12 month fixed term, maternity cover)We are currently looking for a Head of Financial Risk to be based in London on a...
-
Head of Non-Financial Risk
2 weeks ago
London, Greater London, United Kingdom Munich Re Specialty - Global Markets, UK Full time £100,000 - £120,000 per yearAbout UsAt Munich Re Specialty – Global Markets (MRS-GM), it is our ambition to become the leading Primary Specialty Insurance provider, underpinned by an effective and adaptable strategy, superior products and industry leaders working in a supportive environment to achieve this.At the heart of our success is a strong culture where people are encouraged...
-
Head of Non-Financial Risk
2 weeks ago
London, Greater London, United Kingdom Munich Re Full time £80,000 - £120,000 per yearLocationLondon, United KingdomJob typeFull-TimeWork modeHybridJob levelManagement & LeadershipJob ID9305CompanyMunich Re Specialty - Global MarketsEmployment typeRegularArea of expertiseActuarial & Risk ManagementAbout usAt Munich Re Specialty – Global Markets (MRS-GM), it is our ambition to become the leading Primary Specialty Insurance provider,...
-
Head of Credit and Financial Risks
2 weeks ago
London, Greater London, United Kingdom Barclays Full time £60,000 - £72,000 per yearJob DescriptionPurpose of the roleTo assess and approve/decline credit applications based on established credit policies, risk appetite, and regulatory requirement and analysing financial information, evaluating creditworthiness, and recommending credit terms and conditions to ensure responsible lending practices.AccountabilitiesAnalysis of lending ...
-
Head of Risk
1 week ago
London, Greater London, United Kingdom Phoenix Group Full time £90,000 - £120,000 per yearJob Type: PermanentLocation: This role can be based in either our London or Birmingham office, with some flexibility to work between the office and home. There may be some travel to other offices in Edinburgh and Telford. We recognise the benefits of flexible working and will discuss what is important to you and balancing this with business requirements...
-
Global Head of Financial Risk and Resilience
2 weeks ago
London, Greater London, United Kingdom Canada Life UK Full time £80,000 - £120,000 per yearDescriptionJob closing date: 24th October 2025Canada Life UK looks after the retirement, investment and protection needs of individuals, families and companies. We help to build better futures for our customers, our intermediaries and our employees by operating as a modern, agile and welcoming organisation.Part of our parent company Great-West Lifeco, Canada...
-
Global Head of Financial Risk and Resilience
2 weeks ago
London, Greater London, United Kingdom Canada Life Assurance Europe plc Full time £100,000 - £150,000 per yearJob closing date: 24th October 2025Canada Life UK looks after the retirement, investment and protection needs of individuals, families and companies. We help to build better futures for our customers, our intermediaries and our employees by operating as a modern, agile and welcoming organisation.Part of our parent company Great-West Lifeco, Canada Life UK...
-
Market Risk Solutions
6 days ago
London, Greater London, United Kingdom Validus Risk Management Full time £60,000 - £120,000 per yearThe Validus Market Risk Solutions team works with clients to manage event-driven FX and interest rate risk. Our clients include many of the largest and most prestigious institutional investors across private equity, credit and real asset markets.About the Market Risk Solutions Team at Validus:Based in London, the Market Risk Solutions team provides...
-
London, Greater London, United Kingdom Jefferies Financial Group Full time £80,000 - £200,000 per yearDescriptionBased in London and working as part of a global team, this role will have responsibility for overseeing Structured and Flow Equity Derivatives activities in Europe, as well as Cash and Convertibles.In addition to managing equity-linked market risks across EMEA and Asia in collaboration with the Asia Head of Risk, the individual will provide...
-
Financial Developer
2 weeks ago
London, Greater London, United Kingdom Validus Risk Management Full time £60,000 - £100,000 per yearWe are looking for aFinancial Developerto join ourClient Success Team.The vision of the Client Success Team is to establish a proactive, client-aligned feedback loop that accelerates high-impact feature delivery forValidus Horizonplatform. By doing so, the team enhances internal efficiency and delivers greater external client value. This positions the Client...