Remote Risk Analyst

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Vivid Money

πŸ“Remote - Germany

Job highlights

Summary

Join our team as a Risk Management Specialist to support the Chief Risk Officer in establishing and maintaining the risk management framework. Identify and assess risks, conduct outsourcing and third-party risk assessments, and maintain risk information for senior management reports.

Requirements

  • Bachelor's degree in Business, Finance, Risk Management, or related fields (preferred)
  • 2-3 years of experience in financial services, operational risk, audit, advisory services, or product management
  • Knowledge of financial products and CSSF and regulatory requirements, including PSD2, outsourcing and DORA
  • Analytical mindset with attention to detail and the ability to translate complex details into a broader context
  • Strong execution and project management skills, with the ability to manage multiple time-sensitive tasks
  • Ability to deliver results in a dynamic, fast-paced environment
  • Strong interpersonal and communication skills
  • Fluency in English is essential; French/German is beneficial

Responsibilities

  • Support the Chief Risk Officer in establishing and maintaining the risk management framework
  • Identify and assess risks in changes to the company’s products, processes, and systems
  • Conduct outsourcing and third-party risk assessments
  • Maintain, analyze, and aggregate risk information for inclusion in senior management risk reports
  • Assist in the creation and updating of internal risk management policies and procedures
  • Monitor adherence to the Risk Appetite Framework, risk indicators, and SLAs
  • Follow up on the implementation of corrective actions

Benefits

  • Flexible hours arrangement
  • Competitive salary and benefits package (depending on location)

Job description

  • Support the Chief Risk Officer in establishing and maintaining the risk management framework.

  • Identify and assess risks in changes to the company’s products, processes, and systems.

  • Conduct outsourcing and third-party risk assessments.

  • Maintain, analyze, and aggregate risk information for inclusion in senior management risk reports.

  • Assist in the creation and updating of internal risk management policies and procedures.

  • Monitor adherence to the Risk Appetite Framework, risk indicators, and SLAs.

  • Follow up on the implementation of corrective actions.

  • Bachelor’s degree in Business, Finance, Risk Management, or related fields (preferred).

  • 2-3 years of experience in financial services, operational risk, audit, advisory services, or product management.

  • Knowledge of financial products and CSSF and regulatory requirements, including PSD2, outsourcing and DORA.

  • Analytical mindset with attention to detail and the ability to translate complex details into a broader context.

  • Strong execution and project management skills, with the ability to manage multiple time-sensitive tasks.

  • Ability to deliver results in a dynamic, fast-paced environment.

  • Strong interpersonal and communication skills.

  • Fluency in English is essential; French/German is beneficial.

  • We have a hybrid model in one of our offices, Berlin, Limassol or Almaty, or fully remote outside office locations.

  • Flexible hours arrangement.

  • Competitive salary and benefits package (depending on location).

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