
Senior Risk Analyst
- Manchester
- Permanent
- Full-time
- Support the ongoing development and embedding of the Risk Management Framework (RMF).
- Contribute to review and update of the risk policies, procedures, and governance structures.
- Provide oversight and challenge on the effectiveness of first line risk management.
- Maintain the Company's Risk Strategy document and Annual Risk Management Plan/Objectives
- Promote a positive risk culture and awareness through education of key staff on risk management and Munich Re risk management practices.
- Facilitate and review risk and control self-assessments (RCSAs) via the Munich Re ORCS system.
- Analyse emerging risks, horizon scanning, and scenario planning.
- Support the business in assessing risks associated with new products, initiatives, and projects.
- Perform other reviews and tests of established procedures and make recommendations for improvements as needed;
- Monitor and report on the performance of actions resulting from attestation reviews;
- Produce high-quality risk reports and dashboards for senior management, risk committees, and the Board.
- Track Key Risk Indicators (KRIs) and escalate issues where tolerances are breached.
- Maintain risk registers and ensure timely updates from risk owners.
- Provide input to regulatory reporting and submissions e.g. ORSA, SFCR, RSR.
- Support compliance with PRA/FCA, CBI, and Group risk management requirements.
- Monitor and interpret changes in regulatory and industry risk standards.
- Investigate and analyse risk events and near misses, ensuring lessons learned are embedded.
- Provide oversight of incident management and business continuity planning.
- Evaluate control effectiveness and recommend improvements.
- Build strong relationships with business leaders to promote a positive risk culture.
- Support and challenge senior managers in decision-making with risk insights.
- Deliver risk training and awareness sessions where appropriate
- Testing the operational effectiveness of key controls (not MARSOX), including but not limited to sampling of first line checks.
- Provide proactive support and guidance to the business on control design and performance in order to manage risk exposures.
- To act as a communication champion for risk in your touch points with the business.
- 5+ years' experience in risk management, financial services (insurance experience desirable).
- Excellent oral and written communication skills.
- Experience producing risk reports for senior audiences (committees/boards)
- Excellent knowledge of risk frameworks, governance, and control concepts.
- Strong stakeholder management skills.
- Strong analytical, problem-solving, and critical thinking skills.
- Ability to work remotely where required
- Ability to manage multiple priorities and work independently.
- Skilled in both Excel and PowerPoint
- Professional qualifications (e.g., IRM, ICA, CII).
- Familiarity with Solvency II, PRA/FCA/CBI requirements, and other relevant regulation.
- Experience with risk systems/tools (e.g., Archer, Riskonnect).
- Exposure to both operational and financial risk disciplines.
- Degree-level preferred
- A-levels essential
- Agile/Hybrid working
- Private Healthcare (Aviva)
- Aviva Digital GP
- Employer Pension contribution of 13%
- Annual bonus
- Professional qualification support
- 25 days annual leave (plus bank holidays)
- x2 wellbeing days per year