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Senior Financial Risk Manager — Liquidity & Market Risk (2LOD)
- london, england, United Kingdom
- Permanent·On-site
- Full time
- £110 - £160 Per Day
Job Description
Trading 212 in London is seeking a Senior Risk Manager (Financial Risk) to provide independent second line oversight of liquidity, market and counterparty credit risk. You will challenge risk profiles and help embed ICARA processes and Wind-Down planning across Treasury, Trading and Finance.
The role requires deep technical expertise in prudential regulation, capital adequacy and risk management tools, with a proactive approach to testing, reporting and governance at board level.
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