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Job description
A specialized risk modeling role in Santander's Risk Management team, focusing on model governance, implementation, and control across different group entities. The position requires deep technical expertise in financial risk modeling and analysis with a strong emphasis on model management and regulatory compliance.
Primary responsibilities include organizing the Model Approval Forum, managing model governance processes across Santander Group entities, reviewing materials, ensuring compliance with model governance standards, tracking committee resolutions, and generating comprehensive analytical reports related to model approval frameworks.
The role requires a strong educational background in mathematical sciences, physics, engineering, economics, or business, with at least five years of experience in model management including development, validation, audit, or user experience. Candidates must possess an advanced understanding of various risk types including credit risk, interest rate risk, liquidity risk, operational risk, and reputational risk.
Santander offers a dynamic work environment within a global financial institution, providing opportunities to contribute to sustainable financial progress. The role enables professionals to work on complex risk management challenges, supporting the bank's mission of being a Simple, Personal, and Fair banking institution while developing advanced analytical and strategic skills.
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