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Job description
Santander is seeking a Financial Risk Revisor to contribute to the bank's risk management processes. This role involves analyzing financial risks, ensuring compliance, and supporting the bank's strategic objectives. Ideal candidates will have strong analytical skills and expertise in financial risk assessment.
Primary responsibilities include conducting comprehensive financial risk assessments, developing and implementing risk mitigation strategies, analyzing complex financial data, and preparing detailed risk reports for senior management. The role requires thorough examination of financial instruments, credit exposures, and potential risk scenarios across various banking operations.
Required experience includes a strong background in financial risk management, advanced analytical skills, proficiency in financial modeling, and extensive knowledge of banking regulations and risk assessment methodologies. Candidates should have a minimum of 3-5 years of experience in financial risk roles, with advanced degrees in finance, economics, or related fields.
The role offers competitive compensation, opportunities for professional development, exposure to global banking operations, comprehensive benefits package, and a chance to work within a leading international financial institution that is transforming the banking landscape through innovative risk management strategies.
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