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Job description
Santander is seeking a senior analyst for a critical role in market control and structural risk management. The ideal candidate will leverage their financial expertise to analyze complex market risks, contribute to strategic risk assessment, and support the bank's financial stability and growth objectives.
Primary responsibilities include conducting comprehensive structural risk assessments, developing sophisticated risk models, analyzing market trends, and providing strategic insights to senior management that directly impact the bank's financial decision-making processes.
The role requires extensive experience in financial risk management, advanced quantitative skills, proficiency in financial modeling, and deep understanding of market dynamics, regulatory frameworks, and risk mitigation strategies.
Santander offers a competitive compensation package, opportunities for professional growth, exposure to complex financial challenges, and the chance to work within a global, innovative financial institution committed to driving strategic risk management and organizational excellence.
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