About the job
Trading 212 seeks a Regulatory Reporting and Capital Risk Manager to join the Berlin office. This role centers on ensuring compliance with financial regulations and managing risks related to capital. The position requires close coordination with teams across the company to strengthen reporting processes and maintain high standards of accuracy.
Main responsibilities
- Analyze both current and upcoming regulatory requirements that impact Trading 212.
- Prepare regulatory reports with a focus on accuracy and timely submission.
- Develop and improve strategies for identifying and mitigating capital risks.
- Work with internal teams to streamline and enhance reporting procedures.
- Contribute to company stability and support growth through effective risk management practices.
Location
This position is based in Berlin.

