Risk Manager (Capital Risk)

Solo para miembros registrados
Tarragona
EUR 60.000 - 90.000
Descripción del empleo

Join to apply for the Risk Manager (Capital Risk) role at Revolut

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Join to apply for the Risk Manager (Capital Risk) role at Revolut

About Revolut

People deserve more from their money. More visibility, more control, and more freedom. Since 2015, Revolut has been on a mission to deliver just that. Our powerhouse of products — including spending, saving, investing, exchanging, travelling, and more — help our 55+ million customers get more from their money every day.

Our Culture

As we continue our lightning-fast growth, two things are essential to our success: our people and our culture. We’re certified as a Great Place to Work, with 10,000+ employees worldwide, working from offices and remotely. We seek brilliant people who love building great products and redefining success.

About The Role

The Risk team is central to Revolut. They oversee front-line performance across functions, products, and regions, ensuring the business operates safely. The team is involved early in new initiatives, from App Technology to Treasury and Customer Support.

We’re looking for a Risk Manager to identify, quantify, and manage Revolut’s capital risk, acting as a second line of defense to ensure risks and controls are properly managed by first-line businesses. You will collaborate with Treasury, Finance, Operations, Technology, and the broader Risk team to assess and oversee risk activities independently.

Responsibilities

  1. Setting standards for managing capital risk, including risk appetite and impact assessments / responses to changes in capital risk regulations
  2. Preparing the local ICAAP and Recovery plan
  3. Developing and maintaining risk management policies, procedures, limits, stress testing capabilities, analytics, system support, and reporting infrastructure
  4. Engaging with first-line businesses to identify, monitor, and govern emerging capital risks, including new product risk assessments
  5. Monitoring capital risk exposures versus limits, investigating risk events, producing MI reports, and escalating breaches
  6. Identifying key financial and non-financial risks requiring capital allocation
  7. Building and forecasting financial models for capital planning
  8. Proposing and managing capital allocation limits
  9. Building relationships with senior stakeholders to enforce risk frameworks, identify risks, and challenge effectively

Requirements

  1. 5+ years of experience in capital risk management or consulting within financial services
  2. Knowledge of capital risk regulations, ICAAP, and Recovery Planning
  3. Understanding of global financial markets, products, and key risk drivers
  4. Knowledge of risk-related regulations in banking
  5. Expertise in stress testing methodologies, model development, and governance
  6. Strong analytical skills and data-driven problem solving
  7. Ability to work independently, exercise judgment, and drive change
  8. Excellent interpersonal skills

Nice to Have

  • Experience with SQL or scripting languages

Additional Information

We value diversity and inclusion, and encourage applications from all backgrounds. Please be aware of job scams; only apply through official channels, and do not share personal financial information during the process.