Join Santander as an Associate in Market Risk, where you will monitor liquidity risk metrics and develop key policies to enhance our financial services. You'll collaborate with talented professionals, driving innovation and supporting risk management strategies. Your expertise will be critical in ensuring compliance and proactively addressing risk issues.
Key Responsibilities
Monitor liquidity risk metrics within policy guidelines
Develop and implement Regulatory and Corporate Liquidity Policy standards
Document liquidity assumptions and develop related procedures
Identify and contribute to resolution of emerging risk issues
Ensure commitment to liquidity risk policy guidelines
Assist with validation, reconciliation, and analysis of data
Required Qualifications
Bachelor's Degree in Business, Finance, Management, or equivalent field
5+ Years Risk Management/Controls
Preferred Qualifications
Established work history or equivalent demonstrated through a combination of work experience, training, military service, or education