
Client Director - Financial Institutions/Professions (FI &P)
- Sydney, NSW
- Permanent
- Full-time
- Senior client relationship management in the Financial Services Group department
- New growth role based in Sydney/Melbourne/Brisbane
- Position will suit someone who is a driven team player and client focused
- Proactively managing a portfolio of Financial Institutions/Professions clients, including the strategic management of client relationships at a senior level
- Deliver a client-centric, cross solution line approach to servicing clients
- Maintaining strategic relationships with insurance carrier partners in all key markets and successfully negotiating appropriate risk transfer solutions based on individual client risk profile
- Working in conjunction with key stakeholders to contribute to the strategic direction of Aon’s Financial Institutions/Professions portfolio
- Monitor and review of regulatory and case law developments and participation in the production of client advisory white papers
- Participation in business development opportunities, including policy wording health-checks, technical and claims commentary in tenders and involvement in new business presentations
- Participation in key speaking opportunities at industry events to raise awareness of Aon’s brand and capabilities in the Financial Institutions space.
- Extensive experience within the Financial Lines Insurance market with a distinct focus on risk identification and risk transfer for Financial Institutions/Professions clients;
- Strong technical understanding of a broad range of Financial Lines Insurance products and risk solutions, including PI, D&O and Crime;
- A high level of understanding of client profitability;
- Excellent cross-selling abilities;
- A keen entrepreneurial spirit and flair for business development;
- Excellent oral and written communication skills;
- Demonstrated success in managing team relationships and senior-level client relationships;
- Qualifications in accordance with the Financial Services Reform Act (minimum Tier 1 Broking Compliance)