S

VP, Market Risk

Santander Holdings USA Inc

Franklin D Roosevelt, NY
3 days ago
$120,000 - $205,000

Job Description

Join Santander as a VP of Market Risk and lead the management of market risk, liquidity, and margining across diverse trading activities. This role offers the opportunity to shape reporting and risk management practices while collaborating with talented professionals in a dynamic and supportive environment.

Key Responsibilities

  • Manage Market risk, liquidity and margining across trading activities
  • Daily monitoring of firm portfolios and margin computation
  • Provide proactive risk analysis for desks and management
  • Present complex analysis and recommendations to senior management
  • Drive enhancement in risk reporting, analytics and controls framework
  • Lead the Central clearing project on behalf of market risk

Required Qualifications

  • Bachelor's Degree in Business, Finance, Management, or equivalent
  • 9 Years Risk Management/Controls
  • 7 years in managing Market risk in an investment bank or dealer
  • Strong knowledge of central clearing and margining
  • Deep understanding of complex risk metrics like VaR

Preferred Qualifications

  • Established work history or equivalent demonstrated through work experience, training, military service, or education
  • Knowledge of tools like Bloomberg, TS Imagine, Polypaths, Murex
  • Ability to code in VBA and Python

Benefits & Perks

Health insurance401kPTO