Financial Risk Manager
What we do at Qliro
At Qliro, we deliver safe and simple payments. We are a dedicated partner to our merchants, helping them serve their customers every day. We believe that when our merchants grow, we grow. Our team consists of dedicated, friendly, and highly competent people who have redefined what Qliro and payments can be. We are now on an exciting journey of scaling our business in Sweden and across the Nordics.
What your team does
The Risk Control function at Qliro plays a vital role in ensuring financial stability and compliance. Our team is responsible for analyzing and monitoring financial risks, including credit, liquidity, and market risk, while working closely with key stakeholders across the company. We provide essential insights that shape Qliro’s financial strategy and risk management framework.
What you will get to do
As a Financial Risk Manager, you will:
- Coordinate and perform analysis, monitoring, and reporting on credit, capital, liquidity, and market risks.
- Develop, implement, and continuously improve risk frameworks within your area of expertise.
- Act as a subject matter expert in ICLAAP and relevant stress testing processes.
- Define IT requirements and optimize risk reporting and measurement processes.
- Stay up to date on regulatory developments and ensure compliance with capital adequacy, liquidity, and risk management regulations.
- Take ownership of financial risk control, working independently to shape the role and structure your work.
This role is an "office first" role with the expectation to be in the office 4-5 days a week.
What you bring to the team
You are an eager, ambitious, and positive person looking to get full responsibility for the area you cover. You have a mindset where you see yourself as part of the solution rather than pointing out issues. You are a true team player, always helpful and contributing. We work in a fast-paced environment, and you should enjoy managing several things simultaneously. Additionally, you will have an ability to work independently and cope with complex project matters and administration tasks in a business with aggressive growth targets.
- 5–10 years of relevant experience in quantitative risk analysis within the financial industry.
- A strong educational background in mathematics, statistics, and/or financial economics.
- Proficiency in both Swedish and English.
- Deep understanding of regulatory requirements related to financial market operations.
- Experience in performing or participating in ICLAAP.
- Strong skills in SQL, R, Python, or similar systems, as well as advanced Excel (including VBA).
- Excellent problem-solving abilities and effective communication skills.
- A collaborative mindset with the ability to work flexibly and independently.
- The ability to navigate both tactical problem-solving and strategic decision-making.
Does this sound like your next role?
What are you waiting for? Apply now and become part of our journey at Qliro!
- Team 👾
- Risk & Compliance
- Locations
- Qliro - Stockholm
- Remote status
- Hybrid
Financial Risk Manager
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