Ian Nunn Acii
About Ian Nunn Acii
Ian Nunn ACII serves as the Head of UK & Lloyd's at AXA XL, a position he has held since 2020. He has extensive experience in the insurance industry, including roles at XL Catlin and QBE European Operations, and holds an Advanced Diploma in Insurance from the Chartered Insurance Institute.
Current Role at AXA XL
Ian Nunn serves as the Head of UK & Lloyd’s at AXA XL, a division of AXA, since November 2020. In this role, he leads the division, overseeing operations and strategic initiatives within the UK and Lloyd's insurance markets. His leadership is focused on enhancing the division's performance and ensuring alignment with AXA XL's broader objectives.
Previous Experience in Insurance
Ian Nunn has extensive experience in the insurance industry. He worked at XL Catlin in various roles, including Assistant Underwriter, Underwriter, and Senior Underwriter from 2011 to 2018. He also held positions at QBE European Operations as an Assistant Underwriter and Underwriting Assistant. His background includes significant expertise in Structured Finance, Corporate Finance, Political Risk, and Credit & Bond sectors.
Education and Qualifications
Ian Nunn holds an Advanced Diploma in Insurance (ACII) from the Chartered Insurance Institute, which he completed from 2010 to 2013. He also earned a Bachelor of Science with Honours in Geography from Durham University between 2003 and 2006. Additionally, he completed A-levels in Geography, Geology, Biology, and History at The King's School, Canterbury from 1998 to 2003.
Early Career Background
Ian Nunn began his career as a Graduate Analyst at BDO LLP for nine months in 2006. He then transitioned to various roles in the insurance sector, including a brief internship at KPMG UK and a position as a Development Researcher at Pioneer Productions. He also worked as a Business Language Teacher at Empik School in Poland for six months.
Skills and Expertise
Ian Nunn possesses significant skills in Financial Risk and Risk Management. His expertise extends to the Political Risk, Credit, and Bond sectors within the insurance industry. His diverse background equips him to navigate complex financial landscapes and contribute to effective risk assessment and management strategies.