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Risk and Reporting Specialist

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Job Description - Risk and Reporting Specialist

OUR ORGANISATION

Twelve Securis, formed from the merger of Twelve Capital and Securis Investment Partners, is a leading, founder-led business and one of the largest, most experienced insurance-focused investment managers globally. With offices in London, Zurich, Munich, Bermuda and Tokyo we manage in excess of USD 9.5 billion in assets primarily in Catastrophe (Cat) Bonds and other Insurance-Linked Securities (ILS).

THE ROLE

We are seeking a technically strong specialist to take ownership of and further develop our client and risk reporting function. This role is well suited to an individual who values precision, consistency, and delivering high-quality reporting that clients and portfolio managers can rely on with confidence. The successful candidate will have the opportunity to exercise a high degree of autonomy in maintaining, enhancing, and extending the existing framework, with a focus on continuous improvement and automation. In addition, we are progressively integrating AI-assisted development tools, enabling greater efficiency and creating opportunities to further enhance the reporting function. The role will be based in London on a full time, permanent basis

MAIN RESPONSIBILITIES

  1. Own and maintain end-to-end client and risk reporting, from data pipeline through to final report delivery
  2. Take the lead on insourcing our PDF rendering pipeline, replacing our current third-party provider with an in-house solution
  3. Work within and contribute to our R library ecosystem (database connectivity, security and portfolio data, performance stats, ILS modeling)
  4. Perform portfolio data analytics to surface insights on risk exposures, performance, and attribution
  5. Collaborate with portfolio managers and client-facing teams to understand reporting requirements and translate them into scalable solutions
  6. Own data quality by investigating discrepancies, tracing issues to their source, and implementing robust fixes
  7. Document processes and build systems that are robust and not dependent on individual knowledge

PERSONAL ATTRIBUTES AND OTHER REQUIREMENTS

  1. 3–5 years of experience in a reporting, data, or quantitative analyst role, ideally within asset management, banking, or financial services
  2. Strong programming skills in Python and R (additional languages a plus), with experience working within structured codebases beyond ad hoc scripting
  3. Solid understanding of portfolio risk concepts and how they translate into reporting
  4. Strong commitment to accuracy and attention to detail, with the ability to detect and investigate anomalies in data
  5. Experience with tools such as R Markdown, Quarto, Pandoc, or headless browser rendering is a plus
  6. Comfortable working independently and taking ownership of a domain
  7. Knowledge of Insurance-Linked Securities (ILS), reinsurance, or the broader insurance industry is advantageous; training will be provided for the right candidate

WHAT WE OFFER

  1. Opportunity to work in a fast-growing segment of the asset management industry
  2. International, inclusive, and dynamic work environment in a company that values innovation and initiative
  3. Professional development and growth opportunities

EQUAL OPPORTUNITIES

At Twelve Securis, we champion equal opportunities, recognising and valuing the distinct contributions each individual offers. Our dedication is to cultivate an inclusive environment that nurtures diversity, inviting everyone to be part of our team and express themselves sincerely at work.

eFCSoSe

Original job Risk and Reporting Specialist posted on GrabJobs ©. To flag any issues with this job please use the Report Job button on GrabJobs.
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