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Job description
Santander is seeking an experienced professional to manage complex financial modeling tasks related to IFRS9, provisions, and stress testing. The role requires strong analytical skills and deep understanding of financial risk management and regulatory reporting frameworks.
Primary responsibilities include developing and maintaining advanced financial models for IFRS9 accounting standards, creating comprehensive provisions analysis, and conducting sophisticated stress testing scenarios for the bank's risk management strategies.
The ideal candidate will possess extensive experience in financial modeling, strong quantitative skills, advanced knowledge of IFRS9 regulations, and the ability to interpret complex financial data and translate analytical insights into strategic recommendations.
Santander offers a dynamic work environment with opportunities for professional growth, competitive compensation, exposure to cutting-edge financial technologies, and the chance to work with a global financial institution that impacts millions of customers worldwide.
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