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    Director of Financial Management - London, United Kingdom - Molten Ventures plc

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    Description
    Director of Risk

    Department:
    Risk & Compliance

    Employment Type:
    Permanent - Full Time
    Director of Risk,

    As part of our team, you'll be at the heart of this mission, utilising cutting-edge technology to create a seamless investing experience for our users.

    We've built an intuitive mobile-first platform for buying and selling shares and ETFs in a range of tax-efficient accounts.

    In 2024 we're continuing international expansion, following our successful entry into the Swedish market and the opening of our new office in Budapest.

    This expansion presents exciting opportunities for career development and innovation.
    We value diversity and unique perspectives, recognising that different backgrounds enrich our team. We are looking for an expert candidate to join us as a Director of Risk.

    This role will continue the great work we have already done in building out the risk management framework and function at Freetrade.

    The role will be hugely impactful, shaping our approach to risk through all stages and partnering with the business to drive implementation.

    The role will offer huge scope for professional growth, as our company continues to scale and as we launch our services across Europe from our Swedish subsidiary and continue to develop our product offering.

    Be a key leader within our Oversight function - working alongside our Director Compliance, Head of Legal, Head of Finance and CASS Directors.

    Be the company's subject matter expert on risk management covering both Financial and non-Financial risk categories including Prudential Risk.

    Manage all risk types, with particular focus on operational risk, market risk, counterparty credit risk and liquidity risk.
    Maintain and enhance the framework and tools (including Key Risk Indicators) for identifying, assessing and documenting risks in our business today, as well as those we will face as we expand to new territories and roll out new products
    Drive the documentation of the risk framework including creating or updating risk and related policies and procedures

    In partnership with the Compliance team, ensure we meet regulatory requirements and expectations with respect to our risk management framework and processes, both now and as we grow.

    Collaborate with Product, Engineering, Operations and other areas on our key growth and change initiatives including ensuring the proper consideration, on a forward looking basis, of risks, capital and liquidity impacts of planned new products or other material business changes
    Own the operational risk incident governance, including incident response processes, recording and categorisation of events, post-mortems and risk incident reports
    Coordinate the delivery of Business Continuity and Disaster Recovery frameworks, working with the COO and CTO as needed including policies, plans and testing
    Educate, assist and drive adoption amongst the business areas of risk ownership, measurement and development of common processes. Continually build the extent to which risk considerations and metrics drive or influence decision making

    Drive Risk reporting to senior management, including taking ownership for the risk sections of the Risk & Compliance Committee report, leading the relationship with the Board Audit & Risk Committee Chair and reporting, and owning summary Board reporting to both the Freetrade Limited and Freetrade Europa Boards.

    Maintain and enhance methodologies and tools for quantifying Operational and Business risk as part of the capital adequacy process / ICARA process for both Freetrade Limited and Freetrade Europa including the Solvent Wind Down document.

    You are highly skilled in Risk Management, with deep experience in Enterprise Risk Management as well as individual risk types, likely with more than 5 years of experience in Risk Management
    You have a regulated financial services background
    You prioritise a practical approach to risk management over a theoretical one
    You have strong management skills; you are able to build and manage a team of risk professionals
    Leveraging your strong communication skills you can translate risk concerns and processes to to a variety of stakeholders (including non-exec, executive and first line employees) from a diverse group of disciplines, including non-financial ones
    you have appetite for picking up areas of which you have limited past experience
    You are ambitious and attracted to Freetrade's company mission and to building your career at a fast-paced scale-up
    You are constantly looking to learn, whether deepening your risk knowledge or increasing your context from working across the company or from the financial sector

    You will initially have a zoom interview with one of our internal senior talent partners, followed by a hiring manager interview with our CFO, you will then complete an onsite task and conduct a final round Co-Founders executive/values based interview.

    We offer a competitive salary as listed in this job description advertisement, plus stock options and lots of other benefits .

    You'll have a stake in the company you're building, with stock options benchmarked to US companies.

    Whatever your race, religion, colour, national origin, gender, sexual orientation, age, marital status, or disability - we want to hear from you.

    We're very open about what we're working on, and the best places to learn more are our buzzing community forum and our blog.


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