Jobs Companies Trading212 Risk Manager

À propos de ce poste Risk Manager chez Trading212

Trading212 · Hybride · Berlin

Our mission is to enable everyone to build wealth

We reinvent how trading and investing work by creating exceptional products people love.

Fostering a culture of excellence and high velocity is the key to our success.

Тoday, we serve over 6 million clients, with more than €30 billion in assets under management - a testament to the scale and trust we’ve built in just a few years.

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-Assesments 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.

  • Demonstrating 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 acts 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

Bring your ambition to Europe’s fastest-growing mobile broker!

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