Enterprise Risk & Reporting Lead

Posted Aug 27

This is a fully remote position, open to applicants in Poland, +1 more country.

📋 Description

• Develop and implement a comprehensive enterprise risk management framework.

• Consistently identify, assess, monitor, and report on key risks with a forward-looking perspective.

• Ensure alignment of enterprise risk management with regulatory standards and the strategic goals of the company.

• Establish risk appetite and evaluate resilience during stressful situations.

• Assist in capital and liquidity planning processes.

• Analyze new products and strategic initiatives through a detailed risk assessment.

• Convert complex risk data into actionable insights for senior management and governance teams.

• Foster transparency, accountability, and effective oversight within the organization.

• Develop and expand the enterprise risk and reporting function as the company evolves and seeks licensing opportunities.

• Start with a hands-on approach, transitioning into a leadership position over time.


⛳️ Requirements

• 6–10+ years of experience in enterprise risk management, regulatory risk, or a related field within a regulated financial services or banking context.

• Bachelor’s or Master’s degree in Finance, Economics, Risk Management, Business, Mathematics, or a related discipline.

• In-depth understanding of enterprise risk frameworks, including Risk Appetite, RCSA, scenario analysis, stress testing, and ICAAP.

• Background in regulatory expectations applicable to banks or payment institutions, encompassing capital, liquidity, and operational risk standards.

• Experience with regulatory reporting and interactions with supervisors, auditors, and internal governance entities.

• Strong analytical capabilities with the ability to distill complex risk and financial information into clear management and regulatory reports.

• Exceptional written and verbal communication skills, with the capability to engage, challenge, and influence senior stakeholders and regulators.

• Proven ability to work independently with significant autonomy while collaborating effectively across different functions.

• Strong problem-solving abilities and sound judgment skills, with the confidence to make decisions, escalate issues, and navigate a rapidly changing regulatory landscape.

• Professional risk or finance certifications such as CFA, or equivalent, are highly desirable.


🏝️ Benefits

• Flexibility to travel and work remotely or in a hybrid model across Europe.

• Ongoing personal and professional development opportunities.

• Stock Options Program available to all team members.

• Continuous support and care within a modern, friendly, and environmentally aware corporate culture.

• Work & Swim Program: a month in a corporate apartment in Cyprus.

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