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This job expired on 23/08/2026. It no longer accepts applications.
Financial Risk Manager
Revolut
Job description
About the role
Revolut’s Risk team works across all functions, products and regions to ensure safe and sound operations. As a second‑line Financial Risk Manager you will identify, assess, manage and report on financial risk, partnering with Treasury, Finance, Credit and Compliance to oversee risk‑taking activities.
Key responsibilities
- Set standards and risk appetite for managing financial risk types.
- Define responses to regulatory changes and funding plan requirements.
- Develop and maintain financial risk policies, stress‑testing frameworks, metrics and reporting systems.
- Engage first‑line businesses to identify, monitor and govern emerging financial risks, including new product assessments.
- Model financial risks under various stress scenarios with appropriate assumptions.
- Monitor capital and liquidity exposures against internal and regulatory limits.
- Investigate risk events, produce reports and escalate breaches to governance forums.
- Build relationships with senior stakeholders to support risk governance and challenge emerging risks.
Required profile
- 10+ years of experience in financial risk management within financial services.
- In‑depth knowledge of financial‑risk related regulations and banking applications.
- Understanding of stress‑testing methodologies and model governance.
- Analytical mindset capable of breaking down complex problems and working with data.
- Autonomous decision‑making with sound judgement.
- Excellent interpersonal and communication skills.
Required skills
- SQL
- Scripting language (e.g., Python, R)
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