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12 часов назад

Senior Liquidity Risk Manager

Формат работы
hybrid
Тип работы
fulltime
Грейд
senior
Английский
b2
Страна
Germany
Вакансия из списка Hirify.GlobalВакансия из Hirify RU Global, списка компаний с восточно-европейскими корнями
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Описание вакансии

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TL;DR

Senior Liquidity Risk Manager (Liquidity Risk/Regulatory Risk): Own the design, implementation, and ongoing oversight of hirify.global’s liquidity risk framework with an accent on quantitative liquidity modeling, stress testing, and regulatory compliance for a BaFin-regulated investment firm. Focus on building next-generation risk models and tools, translating complex risk insights for senior leadership and regulators, and scaling risk governance through cross-functional collaboration.

Company

hirify.global builds an Investment API that helps fintechs and financial institutions deliver capital market investment and retirement planning products.

What you will do

  • Design, implement, and continuously oversee hirify.global’s liquidity risk framework.
  • Partner with Treasury, Finance, and senior leadership to maintain a robust and compliant liquidity position as the business expands across Europe.
  • Lead quantitative analytics for liquidity, funding, and stress testing (ILAAP), including cash flow forecasting and risk model work.
  • Build risk governance by designing mitigation strategies and risk controls across core business processes.
  • Own high-impact risk projects, including architecture and deployment of next-generation risk models and tools across financial and non-financial domains.
  • Serve as the primary expert for financial risk inquiries, communicating findings to leadership, external partners, and BaFin; mentor junior team members and drive cross-department initiatives (IT GRC, Outsourcing, Finance, Compliance, Operations).

Requirements

  • 5+ years of experience in risk management or treasury within a regulated bank or financial institution.
  • Strong knowledge of European/BaFin regulatory frameworks: CRR, LCR, NSFR, ILAAP, and MaRisk.
  • Hands-on experience building or operating quantitative risk models and cash flow forecasting tools (SQL/Python skills are a plus).
  • Proven ability to drive complex cross-functional projects (e.g., IT GRC, Outsourcing, Compliance).
  • Fluency in English.
  • Ability to clearly articulate complex financial risks to C-level executives and external partners.

Nice to have

  • German language skills.
  • Experience bridging financial and non-financial/operational risk frameworks.
  • Prior experience in a high-growth fintech scale-up environment.

Culture & Benefits

  • Hybrid work in Berlin, with flexibility to work remotely abroad for up to 183 days per year.
  • 30 days of annual leave, sports benefits, and access to confidential professional coaching.
  • Personal development budget and flexibility to choose how to use it.
  • Employee equity participation and above-market salary.
  • One-month fully paid sabbatical after every 4 years at hirify.global.
  • Company events and inclusion-focused employee resource groups.

Hiring process

  • Interviews focused on risk/regulatory expertise and quantitative modeling experience.
  • Discussions with cross-functional stakeholders to assess collaboration and communication skills.
  • Final steps to align on role scope and expectations.

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