This is an exciting new role to provide independent risk oversight to the credit underwriting and investments operations of this best in class (re)insurer.
The position will support leadership and broader teams to provide meaningful insight that will influence business decisions across investment management and credit underwriting. You will be expected to balance conflicting views in the business as they arise and bring a consultative approach which will be backed up by analysis and research.
The role suits either an investments portfolio manager wishing to pivot to second line risk management or a financial risk management professional with extensive experience at a banking institution, investment management firm or asset-intensive (re)insurer.
As this will be a highly visible risk management position, dealing with teams on a global basis, your relationship development skills will be excellent as will your understanding of what is important to stakeholders in these teams. This includes a strong understanding of the financial markets, structured products, regulatory and rating agency requirements, and the impact on the business.
This is a crucial role to the ongoing development of this organization and one not to be missed if you are in this space.