About this role
Financial Market Risk Senior Manager at Convex Insurance. Location: London, City of London, United Kingdom. Role: building relationships, engaging managers, leading risk Requirements: 8+ years in asset management, insurance, or pension; strong investment knowledge; risk modelling experience (VaR, Solvency II/BSCR); CFA/FRM/FIA/FFA or equivalent; graduate finance/economics. Category: Finance and Accounting Seniority: Senior Level Tools: VaR, ALM, SAA, Solvency II, BSCR, Portfolio Modelling Certifications: cfa, frm, fia/ffa Commitment: Full Time Workplace: Onsite Languages: English