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Financial Risk Manager United Kingdom Jobs

10 Job Offers

Financial Crimes Risk Senior Manager (Senior Vice President)
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Senior Vice President, Financial Crimes Risk Senior Manager sought in Belfast to lead AML/Sanctions strategy across 50+ EMEA countries. Drive complex sanctions projects, advise on control design, and assess financial crime risks for new products. Requires deep Financial Services compliance experi...
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United Kingdom , Belfast
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Not provided
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Citi
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Until further notice
Risk Manager - Insurance and Financial Risk
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Risk Manager sought in London to oversee insurance and financial risk for Beazley’s North America platform. Key duties include ORSA reporting, technical provisions validation, and challenging first-line processes like pricing and capital modelling. Ideal candidates have experience in insurance ri...
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United Kingdom , London
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Not provided
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Social Value Portal Ltd
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Until further notice
Financial Crime Risk Manager (Insolvency & Restructuring)
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Seeking a Financial Crime Risk Manager (Insolvency & Restructuring) in London or Manchester. This Associate Director role provides embedded first-line AML, sanctions, and due diligence support on complex insolvency cases. You will advise Insolvency Practitioners and case teams, making critical ri...
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United Kingdom , London, Manchester
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Not provided
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Grant Thornton UK LLP
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Until further notice
Risk Manager - Insurance and Financial Risk - 12 Month FTC
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Risk Manager sought for a 12-month FTC in London, focusing on insurance and financial risk within a North American platform. Key responsibilities include US ORSA delivery, technical provisions validation, and challenging first-line processes like reserving and capital modelling. Ideal candidates ...
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United Kingdom , London
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Not provided
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Social Value Portal Ltd
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Risk Manager - Insurance and Financial Risk
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Seeking a **Risk Manager** in **London** to lead insurance and financial risk activities. Ideal for a **nearly/newly qualified actuary** with capital modelling experience. You will perform **internal model validation**, **ORSA** delivery, and technical provisions review. Join a dynamic team offer...
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United Kingdom , London
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Not provided
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Social Value Portal Ltd
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Risk Manager - Insurance and Financial Risk
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Risk Manager role in London focusing on insurance and financial risk for Beazley’s North America platform. Ideal for a nearly/newly qualified actuary with expertise in US statutory accounting, NAIC, and ORSA. Key duties include RCSAs, technical provisions validation, and risk reporting to committ...
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United Kingdom , London
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Not provided
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Social Value Portal Ltd
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Until further notice
Risk Manager - Insurance and Financial Risk
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Join Beazley's risk team in London as a Risk Manager, focusing on insurance and financial risk. You will validate internal models and technical provisions, support the ORSA, and provide expert challenge on first-line processes. This role is ideal for a nearly/newly qualified actuary with capital ...
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United Kingdom , London
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Not provided
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Social Value Portal Ltd
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Financial Risk Manager
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Seeking an experienced Financial Risk Manager for a 3-month remote contract (Outside IR35). You will own the ICARA process, strengthen risk frameworks, and ensure MiFIDPRU compliance. This key second-line role involves deep oversight of capital, liquidity, and market risk, requiring strong quanti...
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United Kingdom , Greater London
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twentyAI
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Manager, Financial Crime Enterprise-Wide Risk Assessments & Monitoring
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Lead our enterprise-wide financial crime risk assessments and monitoring framework. Utilize your ICA/CAMS qualification and deep regulatory knowledge to identify and mitigate risks across the group. This role involves managing high-risk client reviews and maintaining our Arctic Intelligence syste...
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United Kingdom , Multiple UK locations
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The Emerald Group Ltd, Search and Selection
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Financial Crime Risk Manager
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Shape the future of banking as a Financial Crime Risk Manager at Barclays. Oversee risk and control across Retail products, design robust processes, and drive automation for efficiency. This hybrid role requires expertise in Financial Crime frameworks and stakeholder management. Key locations inc...
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United Kingdom , London; Northampton; Glasgow; Greater Manchester
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Not provided
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Barclays
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Until further notice

About the Financial Risk Manager role

Explore a world of opportunity in Financial Risk Manager jobs, a critical and dynamic career path at the heart of modern finance. Financial Risk Managers (FRMs) are the sentinels of the financial world, tasked with identifying, analyzing, and mitigating potential threats that could jeopardize an organization's financial health and stability. These professionals operate across various sectors, including banking, insurance, asset management, and fintech, serving as essential guardians of capital and reputation.

The core mission of a Financial Risk Manager is to protect the organization from uncertainty. Their day-to-day responsibilities are diverse and crucial. They typically develop and implement robust risk management frameworks and policies, ensuring alignment with both internal strategy and external regulatory requirements. A significant part of their role involves quantitative analysis, where they build and utilize sophisticated financial models to measure exposure to various risk types. These primarily include Market Risk (the risk of losses from movements in market prices), Credit Risk (the risk of loss from a borrower's failure to repay), Liquidity Risk (the risk of being unable to meet short-term financial demands), and Operational Risk (risks from inadequate internal processes, people, or systems). They conduct in-depth scenario analyses and stress testing to understand the potential impact of adverse economic events, providing senior management with the data-driven insights needed for strategic decision-making.

Beyond analysis, Financial Risk Managers are responsible for monitoring risk limits, validating trading models, and preparing comprehensive reports for executive leadership, regulators, and rating agencies. They often play a key role in overseeing controls, ensuring that front-line business units adhere to established risk appetites. In more senior capacities, these professionals may lead teams, mentor junior analysts, and influence the overall risk culture of the organization, advocating for prudent risk-taking and long-term resilience.

To excel in Financial Risk Manager jobs, a specific skill set is required. A strong quantitative background is non-negotiable, typically supported by a bachelor's or master's degree in finance, economics, mathematics, or a related field. Proficiency in statistical analysis, financial modeling, and data manipulation tools (such as SQL, Python, or R) is highly valued. Many professionals pursue prestigious certifications like the Financial Risk Manager (FRM) or Chartered Financial Analyst (CFA) to validate their expertise. Crucially, soft skills are equally important. These roles demand impeccable attention to detail, exceptional analytical and problem-solving abilities, and strong communication skills to translate complex risk concepts into clear, actionable advice for non-specialists. Project management and interpersonal skills are also vital for collaborating with stakeholders across different business functions.

For those with a analytical mind and a passion for safeguarding financial systems, Financial Risk Manager jobs offer a challenging, respected, and rewarding career with a significant impact on an organization's success and longevity.