This is a superb opportunity for a recent graduate with strong numerical, analytical and communication skills to join a global insurance group. The team that you'll be joining has a broad remit across credit risk, finance, investments, treasury, market risk, enterprise risk and business strategy.
Supporting one of their key managers within the group, responsibilities will include: extraction and analysis of data, development and maintenance of various models, reporting on exposures against risks and production of regular reports for internal committees.
Given the scope of this role you will have the opportunity to interact with senior managers across the business and provide high level MI and commentary to aid in strategic business decisions. Therefore communication skills, both written and verbal are key.
The nature of this position would suit ambitious and proactive candidates with a strong academic profile (including minimum 2:1 in a numerically based degree), keen to develop and build an analytical career within the London insurance market.