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You will be updated with latest job alerts via emailWe 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.
oday we serve over 4.5 million clients with more than 30 billion in assets under managementa testament to the scale and trust weve built in just a few years.
The Risk Manager will play a crucial role in managing and mitigating risks within our organization. You will be responsible for liaising with line two compliance to design effective controls and procedures to align with internal policies and to review the ongoing effectiveness of the line one operational risk framework. Working closely with all line one functions you will identify potential risks and design and implement effective risk control measures. This role requires a deep understanding of financial markets trading practices and global best practices for risk management frameworks.
Design controls across trading operations and finance to ensure compliance with internal policy.
Conduct RCSAs and prepare evidence of control framework compliance for senior management and Board.
Prepare evidence of control framework compliance for internal and external audits.
Work closely with the trading team compliance officers and other relevant departments to ensure effective coordination and communication regarding risk management activities.
Collaborate with IT and data teams to enhance risk management systems tools and data analysis capabilities.
Provide training and support to staff members on trading risk management practices and procedures.
Bachelors degree in finance economics business or a related field.
Proven experience (3-5 years) in operational risk management or business controls within a financial services organization preferably in the stockbroking industry.
Strong knowledge of financial markets trading practices and global risk management best practices.
Familiarity with German regulatory requirements related to trading activities (e.g. Bafin regulations).
Excellent analytical and problem-solving skills with the ability to interpret complex data and identify trends and patterns.
Proficient in using risk management systems and tools as well as advanced spreadsheet and data analysis software.
Strong communication and interpersonal skills with the ability to effectively collaborate with cross-functional teams.
Ability to work under pressure prioritize tasks and meet tight deadlines.
Attention to detail and a high level of integrity and professionalism.
Challenges that will help you grow and realise your potential really fast
Opportunity to make a big 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
Are you ready to accelerate your career with us Wed love to hear from you!
We thank all applicants but only candidates selected for an interview will be contacted.
All personal data of applicants is protected by the law and will be treated with strict confidentiality.
Required Experience:
Manager
Full-Time