Talent.com
Robinhood
Derivatives Risk Oversight LeadRobinhood • London, UK
Derivatives Risk Oversight Lead

Derivatives Risk Oversight Lead

Robinhood • London, UK
30+ days ago
Job type
  • Full-time
Job description

Join us in building the future of finance.

Our mission is to democratize finance for all. will be inherited by younger generations in the next two decades. The largest transfer of wealth in human history. If you’re ready to be at the epicenter of this historic cultural and financial shift, keep reading.

About the team & role

We are building an elite team, applying frontier technologies to the world’s biggest financial problems.We’re looking for bold thinkers. Sharp problem-solvers. Builders who are wired to make an impact. Robinhood isn’t a place for complacency, it’s where ambitious people do the best work of their careers. We’re a high-performing, fast-moving team with ethics at the center of everything we do. Expectations are high, and so are the rewards.

The team’s mission is to safeguard the financial stability of our trading operations. By independently challenging front-line strategies and validating complex margin models, we ensure the safe and sustainable growth of our derivatives product.

As a Derivatives Risk Oversight Lead, you will serve as a key representative of Second Line of Defense for our derivatives trading platform, leading the oversight and continuous enhancement of risk management frameworks across the derivatives product and the Bitstamp Financial Services (BFS) entity.

This role is based in our UK office, with in-person attendance expected at least 3 days per week.

At Bitstamp by Robinhood, we believe in the power of in-person work to accelerate progress, spark innovation, and strengthen community. Our office experience is intentional, energizing, and designed to fully support high-performing teams.

What you’ll do

  • Support the Director of Risk in implementing and managing the financial risk management programs for the Bitstamp Financial Services (BFS) Entity and other parts of the Bitstamp group, with particular focus on market, product, counterparty, margin, collateral, and liquidity risks arising from spot and derivatives activities.
  • Provide independent monitoring of risk exposures across financial and operational risks and escalate breaches of approved limits, with a primary emphasis on trading-related risks and scalable control design as the business grows.
  • Review and validate risk models and assess exposure metrics across derivatives products and trading strategies, including independent challenge of product calculations, valuation logic, exposure metrics, and model assumptions.
  • Define and periodically review margin methodologies. Independently assess the adequacy of margin and collateral practices implemented by 1LOD, including initial margin, maintenance margin, liquidation thresholds, collateral haircuts, concentration add-ons, and stressed close-out assumptions.
  • Define counterparty risk framework and limits; independently monitor exposures and challenge limit utilization, concentration risk, and interconnected exposures across spot and derivatives books.
  • Conduct stress testing and scenario analysis to assess the impact of adverse market conditions and extreme events on the derivatives portfolio and develop contingency plans accordingly, including the design of independent house stress scenarios and the ability to reproduce and challenge 1LOD stress calculations.
  • Complete quarterly regulatory submissions required under the MiFID license, such as capital requirement calculation (ICAAP) and quantitative reporting, including prudential risk indicators.
  • Build or enhance internal capital and liquidity models, taking into account new risks arising from derivatives trading within the BFS entity,, including risks related to perpetual swaps, leverage, funding mechanics, basis dislocations, liquidation events, market gaps, and stressed liquidity.
  • Participate in development of key risk and early warning indicators and monitoring as well as reviews of risk appetites, including collaboration with 1LOD on defining KPI/KRI thresholds and escalation triggers (e.g., green/orange/red status).
  • Establish a regular and repeatable risk assessment process covering daily monitoring, weekly and monthly deep dives, periodic model and margin review, exception tracking, and formal escalation governance.
  • Collaborate with process owners to facilitate appropriate management and control of all material risks for the BFS entity, while acting as a subject-matter expert on derivatives and trading risk.
  • Promote a risk-aware culture, including facilitating regulatory-required risk training, and support clear ownership between 1LOD and 2LOD in risk identification, challenge, escalation, and remediation.
  • Report findings to management and regulatory authorities, highlighting key risk metrics, exposures, and mitigating actions, with clear articulation of breaches, trends, emerging risks, and required management actions.
  • Collaborate closely with Product, Operations, Compliance, Legal, and Technology teams to ensure that risk management considerations are integrated into business processes and decision-making, including new product approval, control design, risk tooling, and scalable operating processes.
  • Independently connduct spot and derivatives risk assessments, including hedge effectiveness, basis risk, collateral sufficiency, concentration risk, and the impact of extreme market moves across linked positions.
  • Support the scaling of the business by ensuring that risk methodologies, controls, reporting, and governance remain robust as volumes, client complexity, and product range increase.

What you bring

  • 5+ years of experience in financial risk management, ideally in a second line of defense capacity. Experience in a derivatives trading firm or brokerage is strongly preferred, and direct derivatives/market risk experience is essential.
  • Excellent analytical skills and attention to detail, with the ability to interpret complex data and identify actionable insights, and to independently test, recalculate, and challenge front-line risk metrics and product outputs.
  • Good understanding of the MiFID regulatory framework (particularly derivatives) and prudential expectations relevant to investment firms offering derivatives products.
  • Good knowledge of the components of a balance sheet and drivers of income, including the capital, liquidity, and P&L implications of leveraged derivatives activity.
  • Ability to operate independently and navigate ambiguity.
  • Effective communication and presentation skills, including the ability to challenge senior stakeholders with credible quantitative analysis and clear risk recommendations.
  • Knowledge of the blockchain and virtual currency environment is preferred, with a strong understanding of crypto market structure, spot trading, derivatives products, and perpetual swaps.
  • Excellent English language skills (written and verbal).

What we offer

  • Challenging, high-impact work to grow your career.
  • Performance driven compensation with multipliers for outsized impact, bonus programs, and equity ownership.
  • Top tier benefits to fuel your work, including supplemental health insurance, ancillary insurance, and mental health support programs.
  • Lifestyle wallet - a highly flexible employer-paid benefits spending account expenses beyond traditional benefits such as wellness, childcare, learning, and more.
  • Time off to recharge including company holidays, paid time off, sick time, paid volunteer time off, parental leave, and more!
  • Exceptional office experience with catered meals, events, and comfortable workspaces.
  • Monthly commuter stipend to help offset in-office commuting costs.

Click to learn more about our Total Rewards, which vary by region and entity.

If our mission energizes you and you’re ready to build the future of finance, we look forward to seeing your application.

Robinhood provides equal opportunity for all applicants, offers reasonable accommodations upon request, and complies with applicable equal employment and privacy laws. Inclusion is built into how we hire and work—welcoming different backgrounds, perspectives, and experiences so everyone can do their best. Please review the for your country of application.

Create a job alert for this search

Derivatives Risk Oversight Lead • London, UK

Similar jobs

Systematic Equity PM: Scale AUM & Own Risk

Edge Capital GroupGreater London, England, United Kingdom
Full-time

Edge Capital Group is looking for a Systematic Portfolio Manager, specializing in Equity Stat Arb.The role allows for full ownership of risk and AUM while providing access to enhanced trading infra... Show more

 • Promoted

Senior Insurance Account Director | Strategic Risk Lead

Employment Specialists LtdCity Of London, England, GB
Full-time

A leading recruitment firm is seeking an experienced Account Director in London to provide exceptional Insurance solutions and risk management services to major clients.This role demands strong Com... Show more

 • Promoted

Director, Delta One Trading, Equity Derivatives

CLSA Global Markets Pte LtdGreater London, England, United Kingdom
Full-time

Director, Delta One Trading, Equity DerivativesApplylocations: Londontime type: Full timeposted on: Posted Yesterdayjob requisition id: JR003013**Position Description**We are seeking a Dire... Show more

 • Promoted

Senior Quant Model Risk Lead – Rates & Reviews

Quant Blueprint LLCGreater London, England, United Kingdom
Full-time

Quant Blueprint LLC is seeking a Quant Model Risk Vice President to join their Interest Rates team in Greater London.This role involves assessing model risks and overseeing junior team members whil... Show more

 • Promoted

Senior Credit Risk Lead — Remote, ESOP & High Impact

VittCity of Westminster, England, GB
Remote
Full-time

Vitt is seeking a Senior Underwriter who will define, build, and lead the credit risk function.The role involves establishing tools for credit risk management and developing scoring methodologies u... Show more

 • Promoted

Operational Risk (VP), 2nd LOD

BruinGreater London, England, GB
Full-time

This range is provided by Bruin.Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.Direct message the job poster from Bruin.Risk Management and Qua... Show more

 • Promoted

Risk Director

Davies Talent SolutionsGreater London, England, United Kingdom
Full-time

We are seeking an experienced and commercially astute Director of Risk & Compliance to lead the second line of defence for a regulated investment management business.This is a senior executive role... Show more

 • Promoted

Secured Credit Risk Lead (Second-Charge Mortgage)

Dormont Manufacturing CoGreater London, England, United Kingdom
Full-time

Lendable is on a mission to build the world’s best technology to help people get credit and save money.We’re building one of the world’s leading fintech companies and are off to a strong start:.One... Show more

 • Promoted

Senior Credit Risk Lead - Basel II & Portfolio Oversight

QNB GroupGreater London, England, GB
Full-time

QNB Group is seeking an experienced Credit Risk professional to manage the process of credit approvals for corporate and retail proposals, ensuring adherence to policies and Basel II guidelines.The... Show more

 • Promoted

Global Risk Leader - Fintech & Compliance

AirwallexGreater London, England, United Kingdom
Full-time

Airwallex is seeking a Head of Risk to develop and scale its global risk management framework across operations.This leadership role requires extensive experience in risk management, compliance, an... Show more

 • Promoted

Senior Operational Risk Leader, London & Global

Apollo Global Management, Inc.Greater London, England, GB
Full-time

Principal, Operational Risk to lead and mature the ORM program in London, while supporting EMEA and global initiatives.You will collaborate to deliver strategic and insightful risk solutions using ... Show more

 • Promoted

Remote Treasury Risk Oversight Manager

EngineersOfAIGreater London, England, GB
Remote
Full-time

EngineersOfAI seeks a Manager for their Treasury Risk Oversight team in London, Cardiff, or Remote (UK).This role involves overseeing a £9.The ideal candidate will have experience in retail bank tr... Show more

 • Promoted

Global Head of Risk & Trading

TrazeGreater London, England, United Kingdom
Full-time

Zeal Group is a fintech group operating multi-asset trading businesses and technology solutions across global markets.Founded in 2017, the company has grown to more than 500 employees worldwide, wi... Show more

 • Promoted

Director, - Risk Modelling, Validation, and Stress Testing

EBRDLondon, England, GB
Full-time

Director – Risk Modelling, Validation, and Stress Testing manages a team of quantitative risk analytics professionals.The job holder directs measurement, monitoring, modelling, and management of th... Show more

 • Promoted

Senior Credit Risk Lead — Direct Lending

Macquarie GroupGreater London, England, United Kingdom
Full-time

Macquarie Group in London is seeking an Associate Director in the Risk Management Group to guide credit risk in Direct Lending transactions across Europe, combining strong credit judgment with comm... Show more

 • Promoted

Head of Risk

CorgiGreater London, England, United Kingdom
Full-time

We've raised $374M, most recently at a $2.B valuation, to build a full stack, AI native insurance company.Corgi owns its carriers, reinsurers, MGA, and TPA, and uses AI throughout underwriting, pri... Show more

 • Promoted

Senior Quant Risk Actuary 2nd Line Model & ORSA (Flexible)

Chaucer GroupGreater London, England, United Kingdom
Full-time

Chaucer is seeking a Senior Quantitative Risk Actuary to join the 2nd line risk function in London.You will oversee validation, reserving, financial market and credit risk with governance and regul... Show more

 • Promoted

Compliance Risk Lead

Selina Finance | Certified B CorpGreater London, England, GB
Full-time

At Selina Finance, our mission is to provide exceptional value with simple and flexible financial products.We’re achieving this by building a next-generation digital lender targeting homeowners acr... Show more

 • Promoted

VP, Markets Operational Risk - Lead Global Controls & Governance

Next Frontier CapitalGreater London, England, United Kingdom
Full-time

Next Frontier Capital is seeking a Vice President in Europe, Middle East and Africa Corporate and Investment Bank Markets Operational Risk Management.You will join a global team to implement and ma... Show more

 • Promoted

Treasury Lead: Strategy, Cash & Risk (Hybrid)

hackajobGreater London, England, United Kingdom
Full-time

Lendable is building elite fintech treasury capabilities.We seek a strategic leader to manage treasury planning, liquidity, hedging, and investments, partnering with senior leaders to optimise capi... Show more