Join Santander as an Associate in Market Risk, where you'll play a vital role in monitoring liquidity risk and ensuring compliance with liquidity policies. This position offers an opportunity to collaborate with talented colleagues and contribute to strategic planning while ensuring adherence to regulatory standards.
Key Responsibilities
Monitor liquidity risk metrics and ensure compliance with Liquidity Policy guidelines
Develop and implement Regulatory and Corporate Liquidity Policy standards
Review and challenge Liquidity Risk management processes
Lead workstreams of the Annual Independent review and Internal Liquidity stress testing
Establish policies and procedures in accordance with regulations
Required Qualifications
5 years of experience in Liquidity Risk Management or Liquidity Risk Oversight
Bachelor’s degree in economics, finance, or related field
Analytical background with knowledge of quantitative methods applied to finance
Preferred Qualifications
Master’s degree in economics, finance, MBA, or related field
Professional designation (ex: CFA, FRM)
Experience in Category I or II banks and/or regulatory practice