Insurance and Asset Management Finance & Risk team – Associate or Engagement Manager – UK & Continental Europe

Company: Oliver Wyman Group
Apply for the Insurance and Asset Management Finance & Risk team – Associate or Engagement Manager – UK & Continental Europe
Location: London
Job Description:

Overview

As a member of Oliver Wyman’s Insurance and Asset Management practice, you will lead project teams in Finance & Risk for insurers and asset managers. You’ll shape strategic analyses, ensure practical recommendations, and mentor juniors while building strong client relationships. The role sits at the crossroads of business insight and technical execution, with opportunities to influence decisions at senior levels. You’ll work across UK and Continental Europe, contributing to a growing, high-caliber team focused on delivering value in complex financial services. This is a chance to drive impactful risk and capital solutions within a global consulting environment.

Pay / Benefits

  • hybrid work
  • flexible career paths
  • diverse and supportive team culture
  • global scale and exposure
  • opportunity to work across UK & Continental Europe

Responsibilities

  • Lead project teams through structured problem-solving from hypothesis to solution
  • Ensure recommendations are practical, relevant, and well-communicated
  • Provide strategic thought leadership and oversee technical execution
  • Mentor junior team members and cultivate client relationships
  • Coordinate with cross-functional teams to deliver high-quality outcomes

Key requirements

  • Minimum 3 years of experience in a top-tier consulting firm or large insurer with insurance and asset management focus
  • Knowledge of finance and risk topics, including Solvency II/UK internal models and credit risk modelling
  • Proven project management experience with team leadership
  • Strong analytical and problem-solving abilities
  • Excellent written and verbal communication skills
  • Demonstrated initiative and creativity in solving client challenges
  • Undergraduate or advanced degree from a top academic program
  • Collaborative
  • Relationship building
  • Strong communication
  • Solvency II/UK internal models
  • Credit risk modelling
  • Finance and risk management concepts

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Posted: October 8th, 2026