Negotiable
Outside
Hybrid
Greater London
Summary: The Capital Modelling & Reserving Finance Project Manager role is a contract position within a leading London Market insurance organization, focusing on critical finance and actuarial initiatives. The ideal candidate will have extensive experience in capital modelling and reserving within the London Market, leading complex programs across various functions. This role requires strong stakeholder engagement and project management skills, with a focus on delivering finance and actuarial transformation. The position is hybrid, requiring 2-3 days per week in London.
Key Responsibilities:
- Manage capital modelling or reserving related programmes within the London Market insurance sector
- Apply knowledge of Solvency II frameworks, internal capital models, governance structures, and reserving methodologies
- Deliver complex actuarial or finance change initiatives in collaboration with stakeholders
- Engage senior stakeholders and align business priorities with regulatory expectations
- Demonstrate strong programme governance and structured delivery in finance or actuarial transformation environments
Key Skills:
- Significant experience in capital modelling or reserving within the London Market
- Solid working knowledge of Solvency II frameworks and internal capital models
- Experience in delivering finance change initiatives
- Strong stakeholder engagement and project management skills
- Capability in programme governance and structured delivery
Salary (Rate): undetermined
City: Greater London
Country: United Kingdom
Working Arrangements: hybrid
IR35 Status: outside IR35
Seniority Level: undetermined
Industry: Other
Capital Modelling & Reserving Finance Project Manager - London Market (Contract)
Our client, a leading London Market insurance organisation, is seeking an experienced Capital Modelling & Reserving Finance Project Manager to support a number of critical finance and actuarial initiatives. This role requires a contractor with deep London Market expertise who can lead complex programmes across actuarial, finance, and underwriting functions.
You'll be a great fit for this role if:
- You have significant experience managing capital modelling or reserving related programmes within the London Market insurance sector
- You possess a solid working knowledge of Solvency II frameworks, internal capital models, governance structures, and reserving methodologies
- You have successfully delivered complex actuarial or finance change initiatives, working closely with actuarial, finance, and underwriting stakeholders
- You are comfortable engaging senior stakeholders and driving alignment across both business priorities and regulatory expectations
- You demonstrate strong programme governance, structured delivery, and hands-on project management capability within finance or actuarial transformation environments
This is an initial 6-month contract, operating Outside IR35, with hybrid working (2-3 days per week in London).
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Capital Modelling & Reserving Finance Project Manager - London Market (Contract)