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Job Title


Financial Risk Manager


Company : cer Financial


Location : London, England


Created : 2025-11-04


Job Type : Full Time


Job Description

Financial Risk Manager City of London Permanent Hybrid (4 days in the office, 1 at home) Up to 85k + bonus cer Financial are working alongside an insurance company who are based in the City of London. They are seeking a Financial Risk Manager to work with them on a permanent basis. The responsibilities of the Financial Risk Manager will include: Support the CRO in development of the company risk management strategy. Support the CRO in developing and delivering the annual risk management plan. Oversee the effective operation of the companys management of key financial risks relating to capital, liquidity, reserves/technical provisions, investments, pricing, reinsurance etc, working with executive risk owners and senior management to assist them in meeting their responsibilities. Provide oversight and challenge of the companys risk mitigation activity, and the companys stress and scenario testing activity Lead the production of internal and external risk management and Solvency II reports. Provide oversight and challenge of the companys underwriting portfolio, business plans, balance sheet, investment portfolio, and Solvency II (standard formula) SCR calculation. The successful Financial Risk Manager will have: At least 5 years work experience of finance, actuarial, risk management or related work in general insurance market. Bachelor's degree or above in finance, economics, risk management, actuarial or related fields. Good understanding of financial risk management methods and principles. Good knowledge of the requirements of Solvency II and capital modelling TPBN1_UKTJ