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Operational Risk Manager
IMC Trading is hiring for the job of Operational Risk Manager, Amsterdam, Netherlands (On-site). This is a Risk job in the governance, risk, and compliance field. Review the full details below and apply directly with IMC Trading.
About the role
We re looking for an Operational Risk Manager to join IMC s Operational Risk Management (ORM) team and lead operational risk frameworks and prudential risk across our European offices.
The key focus areas for this role are split between operational risk and prudential risk. Operational risk covers the Key Control Framework (KCF), Risk Control Self-Assessments (RCSA), risk surveys, risk culture, and Business Continuity Planning (BCP). Prudential risk focuses on IFR/IFD regulatory frameworks including the Internal Capital Adequacy and Risk Assessment (ICARA) process, Pillar 3 disclosures, prudential reporting, and participation in IFR-related working groups across associations (EPTA, APT) and regulators (FCA, DNB).
You will partner with Trading, Technology, Compliance, and other teams across the organization to ensure risk controls are appropriately embedded in systems and processes. The role reports to the European Head of Risk and is based in Amsterdam, with regular travel across our European offices (London, Zug, Aarhus). You will join a growing dedicated ORM team as the second member and collaborate with ORM colleagues globally.
Your Core Responsibilities:
Own and continuously enhance the Key Control Framework, ensuring effective testing, monitoring, and assurance of critical firm-wide controls
Conduct annual Risk Survey, Culture assesment and Risk Control Self-Assessment process to ensure proactive and consistent identification, evaluation, and mitigation of key risks
Partner with Trading, Technology, Compliance and other teams to ensure risk controls are appropriately embedded in systems and processes
Lead Business Continuity Planning (BCP) processes and testing across European offices
Lead ongoing IFR/IFD prudential risk management for Amsterdam and London entities
Own the Internal Capital Adequacy and Risk Assessment (ICARA) process, Pillar 3 disclosures, and prudential reporting for both jurisdictions
Participate in IFR-related working groups across associations (EPTA, APT) and engage with regulators (FCA, DNB) on prudential risk matters
Your Skills and Experience:
At least 5+ years of relevant operational and prudential risk management experience in financial services or trading environments
Proven experience interpreting prudential risk regulations, translating them into practical implementation, and understanding how they impact the business (IFR/IFD experience preferred)
Plus when direct experience with ICARA processes, Pillar 3 disclosures, and prudential reporting
Demonstrated experience developing and implementing Operational Risk frameworks, including RCSA and Key Control frameworks
Understanding of financial markets, trading operations, and associated risk exposures
Strong analytical skills with attention to detail and ability to work with complex regulatory requirements
Excellent stakeholder management and communication skills, with the ability to influence and engage credibly at all levels of the organization
Leadership capabilities with ability to develop and mentor team members
Academic background in a relevant field (finance, risk management, economics, or related disciplines)
Excellent verbal and written communication skills in English
About Us
IMC is a research-driven trading firm where quantitative modeling, machine learning, and engineering shape how modern markets are traded. A stabilizing force in markets since 1989, we provide liquidity across trading venues, delivering the best outcome in value and risk management to investors. Using our own technology and capital, we build proprietary systems and algorithms that operate across global markets. Our researchers, traders, and engineers work as a collective, combining rapid experimentation, advanced infrastructure, and real-time feedback to turn insight into execution and execution into advantage.
Location and market context
This job is based in Amsterdam on-site. Local candidates benefit from being close to IMC Trading's teams and regional hiring market. Confirm the exact in-office expectation and any relocation support with the employer.
About risk management jobs
Risk jobs own the methodology for identifying, assessing, and escalating enterprise, operational, and technology risk. Second-line teams set risk appetite and challenge the first line. Jobs like this one are typically evaluated against frameworks such as enterprise and operational risk frameworks, NIST AI RMF, and risk-appetite and escalation practices.
How to position yourself for this risk management job
Strong candidates emphasize risk assessment methodology, appetite and escalation, cross-functional partnership, and clear reporting to senior leadership and the board. In your resume and outreach, tie your experience to how IMC Trading would apply enterprise and operational risk frameworks, NIST AI RMF, and risk-appetite and escalation practices, and lead with concrete outcomes rather than duties.
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