Investment Manager – Risk Sharing

Company: Legal and General
Apply for the Investment Manager – Risk Sharing
Location: London
Job Description:

Overview

In this Investment Manager role, you will help shape asset-backed solutions to optimise the balance sheet in support of L&G’s strategic goals. You will work with cross-functional teams to structure, analyse, and deliver risk-sharing transactions involving assets like mortgages, property, and fund-finance exposures. You will build and refine financial models that incorporate risk, return and regulatory considerations, and present governance materials to stakeholders. The role offers meaningful impact through collaboration across Asset Management, Treasury, Finance, Legal, Risk and Tax, with a clear focus on responsible customer outcomes.

Pay / Benefits

  • annual bonus plan
  • share schemes
  • generous pension contribution
  • life assurance
  • Healthcare Plan (permanent employees only)
  • 25 days holiday, 26 after 2 years

Responsibilities

  • Develop asset-backed solutions with internal and external partners to share or distribute risks
  • Build and enhance financial models considering risk, capital and regulatory factors
  • Design solutions to optimise portfolio risk and investment performance
  • Draft and present governance materials and engage stakeholders for new initiatives
  • Collaborate with Asset Management, Group Treasury, Finance, Legal, Risk and Tax for smooth transaction implementation
  • Strengthen relationships with internal and external stakeholders to support market engagement and outcomes
  • Originating, pitching, negotiating, and executing risk-sharing transactions with third parties
  • Demonstrate behaviours aligned with company values prioritising fair customer outcomes

Key requirements

  • Undergraduate degree in a quantitative discipline or Accounting/Management, or equivalent experience
  • Experience in structured finance, fixed-income products or insurance, ideally within financial services or consulting
  • Strong ability to develop complex, dynamic financial models for debt or asset-backed investments
  • Excellent interpersonal and communication skills with senior stakeholders
  • Comfort with fast-paced environments and meeting deadlines
  • Collaborative mindset across multiple teams
  • Strong MS Excel capability; other modelling tools beneficial
  • Initiative, adaptability and proactive problem solving
  • strong communication
  • stakeholder management
  • collaboration
  • structured finance
  • fixed-income products
  • asset-backed investment analysis

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Posted: October 1st, 2026