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Legal & GeneralPosted 3 weeks ago

Investment Manager - Risk Sharing

HybridLondon, England, United Kingdom

Full TimeSenior LevelBachelors DegreeEnterprise

Job Summary

Develop asset-backed solutions by collaborating with internal teams and external partners to share or distribute selected risks. Build and enhance financial models to evaluate opportunities, incorporating risk, return, capital, and regulatory considerations. Design solutions that optimise the portfolio's risk profile and support investment performance. Draft governance materials and present to stakeholders to build support for new initiatives. Collaborate across Asset Management, Group Treasury, Finance, Legal, Risk, and Tax to ensure seamless transaction implementation. Originiate, pitch, negotiate, and execute risk-sharing transactions with third-party organisations while demonstrating behaviours aligned with fair customer outcomes.

Required Qualifications

  • Undergraduate degree in a quantitative discipline (e.g. Mathematics, Physics, Finance, Computer Science) or Accounting/Management, or equivalent experience
  • Experience in structured finance, fixed‐income products or insurance, ideally gained within a bank, insurer, asset manager or consultancy
  • Skilled in developing complex, dynamic financial models for debt or asset‐backed investment analysis
  • Strong interpersonal and communication skills, with confidence working with senior stakeholders
  • Comfortable working in a fast‐paced, evolving environment and delivering high‐quality outcomes to deadlines
  • Collaborative approach, with the ability to build positive working relationships across multiple teams
  • Strong MS Excel capability
  • Initiative, adaptability and a proactive mindset when solving challenges

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