Risk Manager

Trading212

Berlin

Vor Ort

EUR 60.000 - 80.000

Vollzeit

14 Tage+

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Benefits dieser Stelle

Generous remuneration package
Opportunity for significant impact

Zusammenfassung

Trading212 in Berlin is seeking a risk management professional to ensure adherence to the Risk Management Framework and provide oversight on risk events. You will be involved in assessing risks and developing mitigation strategies while working in a dynamic environment.

The ideal candidate will possess strong analytical skills, attention to detail, and experience in financial management. Joining Trading212 means participating in opportunities that will impact millions of investors and working alongside dedicated colleagues.

Qualifikationen

  • Strong analytical and strategic thinking abilities.
  • Experience in financial management, particularly capital and liquidity management.
  • Ability to develop and implement risk mitigation strategies.

Aufgaben

  • Ensure alignment with the Risk Management Framework.
  • Conduct Risk and Control Self-Assessments.
  • Provide education and training on risk responsibilities.
  • Oversee risk event management from reporting to closure.
  • Report and track Key Risk and Performance Indicators.

Kenntnisse

Risk management principles
Analytical thinking
Attention to detail
Communication skills

Tools

Risk management software

Jobbeschreibung

What you’ll do
  • Ensure the organisation’s approach to the treatment of risk is aligned with its Risk Management Framework, Risk Strategy and Risk Appetite.
  • Conduct Risk and Control Self-Assessments and prepare evidence of control framework adherence for senior management and Board.
  • Provide education and training to the rest of the Firm on their responsibilities to ensure adherence to risk requirements.
  • Oversee and challenge risk event/incident management from initial reporting through to remediation and closure.
  • Demonstrate an understanding of liquidity risk management and stress testing.
  • Provide an overview and challenge of the trading risk to which the Firm is exposed.
  • Provide risk reports and updates on the Firm’s risk profile through risk governance.
  • Participate in the company’s new product approval process, ensuring risks are identified early with mitigation strategies applied.
  • Report and track organisational Key Risk / Performance Indicators (KRIs/ KPIs) for evaluating risk management performance, strategy, processes, and controls.
  • Promote the view that risk management is a universal responsibility and act as a risk champion across the organisation.
What you need to have
  • Knowledge of risk management principles and practices.
  • Strong analytical and strategic thinking abilities.
  • High attention to detail and risk assessment skills.
  • Effective communication capabilities.
  • Experience in financial management, particularly capital and liquidity management and/or management and understanding of market and credit risk in a retail client base is desirable.
  • Experience with risk reporting.
  • Ability to develop and implement risk mitigation strategies.
  • Experience with risk management software and tools.
  • Outsourcing/Third Party Risk Management experience.
What we offer
  • Challenges that will help you grow and realize your potential fast.
  • Opportunity to make a significant impact – you will build innovative services used by millions of investors to build wealth.
  • Work with smart, spirited, helpful, high‑performing colleagues with a common goal.
  • An environment where nothing is set in stone.
  • Appreciation for your talent and ideas.
  • Generous remuneration package.
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