
Posted 2 days ago
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**Financial Risk Senior Associate/Manager**:Oversee and evaluate capital risk, climate-related financial risk, and recovery planning. Support Head of Capital Risk, conduct data analysis, and assure risk controls. Contribute to setting Capital Risk Appetite. Requires 5+ years' financial risk experience in banking, proficiency in Excel, SQL, and climate risk assessment. Blend of senior management exposure and professional development awaits.
- Compensation
- Not specified
- City
- London, Cardiff, Manchester
- Country
- United Kingdom
Currency: Not specified
Full Job Description
Description
Hello, were Starling. We built a new kind of bank because we knew technology had the power to help people save, spend and manage their money in a new and transformative way. Were a fully licensed UK bank with the culture and spirit of a fast-moving, disruptive tech company. Were a bank, but better: fairer, easier to use and designed to demystify money for everyone. We employ more than 3,500 people across our London, Southampton, Cardiff and Manchester offices.
To support our ongoing growth, we are looking to recruit a Financial Risk Associate/Manager within our 2nd Line Risk function, reporting to the Head of Capital Risk. This role involves supporting the Director of Financial Risk and the Head of Capital Risk with the oversight and evaluation of capital risk, climate-related financial risk, and resolution & recovery planning, alongside undertaking data and scenario analysis.
This is a hands-on, analytical role offering senior management exposure and excellent opportunities for professional development. It represents a fantastic opportunity to join a growing fintech firm and help shape our approach to managing financial risk.
Key Accountabilities
- Oversight & Evaluation: Supporting the Head of Capital Risk with the review and evaluation of the banks Recovery Plan, Resolvability Assessment Framework, ICAAP, stress testing processes, and climate risk assessments (including compliance against SS5/25).
- Assurance & Review: Undertaking assurance and model reviews to provide robust oversight of risk controls, policy implementation, and the accuracy of management information and prudential regulatory reporting.
- Strategic Input: Contributing to the setting of the Capital Risk Appetite and reviewing strategic initiatives to evaluate key assumptions and their impact on capital and resolvability.
- Data Analysis: Performing thorough data analysis, including evaluating climate risk data and business plan assumptions.
- Communication: Preparing and writing financial risk reports for the Executive and Board Risk Committees.





