Portfolio Risk Manager [Exposure Management]
Permanent - Full TimeJob Overview
Portfolio Risk Manager [Exposure Management]
London
Hybrid, two days in office
Permanent / full-time
We are a fast-growing global reinsurance speciality company servicing the insurance markets of Lloyd’s, Europe and North America.
This year, we started building out our prospective insurance capability. Reporting to the Managing Director of Underwriting, this brand-new opportunity will offer a unique opportunity to shape how we model, monitor and manage portfolio risk.
Responsibilities
This is a deal-focused role in a fast-paced environment. You’ll be setting frameworks, defining reporting requirements and working closely with underwriters to ensure the portfolio delivers strong risk-adjusted returns.
You’ll own portfolio analytics, aggregation control and stress testing, providing clear, practical insight that directly influences underwriting decisions and growth.
You’ll own portfolio analytics, aggregation control and stress testing, providing clear, practical insight that directly influences underwriting decisions and growth.
Candidate requirements
• Right to work in this location
• Has strong experience in portfolio, exposure or risk analytics within insurance/reinsurance
• Enjoys building structure, tools and processes where they don’t yet fully exist
• Can work closely with underwriting and actuarial teams to influence risk selection and limits
• Communicates complex analysis clearly to senior stakeholders
• Contributing positively to our culture and values.
• Has strong experience in portfolio, exposure or risk analytics within insurance/reinsurance
• Enjoys building structure, tools and processes where they don’t yet fully exist
• Can work closely with underwriting and actuarial teams to influence risk selection and limits
• Communicates complex analysis clearly to senior stakeholders
• Contributing positively to our culture and values.
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