Capital / Solvency Risk Manager
A fantastic opportunity for an experience Capital / Solvency Risk Manager, to join a leading financial services organisation based in the South-West of England. As Capital / Solvency Risk Manager, you will maintain a credible, coherent and complete framework for the oversight of solvency risk for the ERM
In this key role, you’ll help to maintain a credible, coherent and complete framework for the oversight of solvency risk, ensuring consistency with the wider Enterprise Risk Management Framework. You will oversee calculations of capital requirements and stress testing activity for solvency risk. It also means providing focussed risk advice and support on solvency control activities to ensure the Group remains compliant with regulations, as well as reviewing market conditions, regulatory change and competitor benchmarks.
Skills required
o Highly numerate and with an ability to interpret detailed regulations, you’ll need a degree-level education or a relevant professional qualification.
o awareness of capital modelling & risk management reports.
o Knowledge and experience of Capital Management
Salary - £45,000 - £55,000pa + Pension, Bonus, Private healthcare and much more.
Solvency / Basel II / Economic Capital / Capital Reporting / Capital Markets / Regulatory Capital / Frameworks / Bank / Compliance / Risk / Stakeholder Management / Capital Management

