Primary responsibilities include conducting comprehensive risk assessments, analyzing complex financial risk scenarios, supporting risk management frameworks, and collaborating with cross-functional teams to develop and implement risk mitigation strategies within the Corporate & Investment Banking division.
Required experience includes a strong background in financial risk management, proficiency in statistical analysis, advanced Excel skills, understanding of regulatory compliance frameworks, and demonstrated ability to communicate complex risk insights to senior management. A degree in finance, economics, or a related quantitative field is essential.
The role offers competitive compensation, opportunities for professional development, exposure to global banking operations, working with a leading international financial institution, and the chance to be part of Santander's innovative risk management team that impacts financial strategies at a global level.