Trading 212
Risk Manager
Berlin
Role brief
What this role is asking for.
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 man...
Company role signals