The Finance team keeps Revolut moving with clarity and confidence. From accounting to strategic support, they work across the business to assess risk, guide decisions, and drive growth. Their insight shapes everything from daily operations to long-term plans and plays a key role in how we scale.
We’re looking for a motivated Investment Manager to join our Treasury team. You'll be performing model-based portfolio optimisation and managing fixed income portfolios to generate profit while staying within tight risk limits.
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What you'll be doing
* Developing and implementing portfolio strategies and managing the treasury investment portfolio
* Managing inherent portfolio risks (interest rate risk, cross currency risk, credit risk, etc.)
* Enhancing the investment management framework, and developing the investment and hedging toolkit
* Establishing a network among originators and interbank partners in France and selected countries in Western Europe to facilitate deal flow
* Collaborating with other departments on the 1st and 2nd line of defence to ensure cohesion with internal functions and adherence to regulations
* Acting as a subject matter expert on capital markets and investments, with regular investment portfolio communications at ALCO and management level
* Owning and developing investment policies, procedures, standards, and controls
What you'll need
* 5+ years of experience as a portfolio manager or trader at a bank, asset manager, or insurance company
* An understanding of financial maths and capital market products, especially fixed income products, such as SSDs, bonds, repos, and interest rate derivatives
* A solid understanding of French banking regulations in relation to investment instruments, such as securitisation, capital/RWA xhfqzwm requirements, etc.
* Expertise in the broader implications of investments, interest rate risk, cross currency risk, liquidity and hedge accounting
* Familiarity with trading platforms, such as Bloomberg
* Experience in market execution
* Fluency in English
* Excellent communication, presentation, and networking skills
Nice to have
* Experience managing liquidity, ALM, or capital
* Knowledge of ILAAP and ICAAP processes
* A CFA and AMF certification
* Familiarity with valuation methodologies, such as DCF and Stochastics 101 (delta, gamma, theta, veta)