Investment & Credit Risk Actuary – First Line

Just

London, United Kingdom
Competitive salary; generous bonus scheme; pension...
Hybrid
Solvency uk framework understanding
Investment portfolio risk analysis
Credit and counterparty risk modeling
The role involves undertaking actuarial analysis to effectively manage the risks associated with the company's investment portfolio

Job Summary

  • The role involves undertaking actuarial analysis to effectively manage the risks associated with the company's investment portfolio.
  • Candidates will support the development of credit risk modeling, counterparty risk frameworks, and property risk budgets for the lifetime mortgage portfolio.
  • The position offers a competitive salary, pension scheme, private medical cover, and opportunities to progress within a fast-growing retirement expert company.

Matching Summary

The role involves undertaking actuarial analysis to effectively manage the risks associated with the company's investment portfolio.

Salary

Competitive salary; Generous bonus scheme; Pension scheme included

Skills & Requirements

Must-have

  • Solvency UK framework understanding
  • Investment portfolio risk analysis
  • Credit and counterparty risk modeling
  • Property risk management for lifetime mortgages
  • Quantitative analysis and reporting

Nice-to-have

  • Life industry experience in Solvency UK
  • Experience within an investment or ALM team
  • Strong stakeholder engagement skills
  • Collaborative and curious culture fit

Key Requirements

  • Qualified FIA, FFA, CFA or equivalent
  • Life industry experience in a Solvency UK environment
  • Ability to produce technical analysis and reports

Work Rights

Not specified

Tailored Resume

Cover Letter