Shareholder Investment Manager
£50,000 - £75,000 per annum
Reputable Insurer seeking an Investment Manager join their Shareholder Investment team. This team is responsible for the investment management capability, helping the Group to produce superior risk adjusted returns relative to liabilities for shareholder assets.
Within this role you will be responsible for portfolio management activities including portfolio monitoring, data analytics, exposure analyses, and identifying and managing emerging risks and issues. You will also be responsible for supporting investment strategy development and deliver on the businesses climate ambitions including climate data analytics and MI.
* CFA or FIA qualified or making good exam progress.
* Experience of working within a portfolio management or investment management role in consultancy, insurance or an investment management firm.
* Awareness of commercial and financial matters with an understanding of credit risk and implications for different sectors.
* Solvency II and investment strategy for insurers beneficial.
This is an excellent and unique role for someone working in consultancy but possesses a knowledge of investment strategy within insurance or for someone looking specifically to join a shareholder investment team. This role also encompasses climate data analytics which is an interesting and unique aspect to the role.
For further details on this role or for a confidential discussion around how your role compares in the market, please don't hesitate to apply the job online.