Capital and Solvency Risk Manager

Monzo Bank

This role will focus on understanding and managing our financial risks arising from all Monzo’s current and new activities and products, and developing and embedding a robust financial risk management framework. The Capital and Solvency Risk Manager will be involved in monitoring the way we grow and manage our balance sheet, in making sure we hold adequate regulatory capital at all times, in identifying and monitoring any risks to our financial positions, in overseeing first line activities in line with our risk framework and in planning for recovery and resolution in the event that things go wrong.

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