CIB Risk MI & Client Control EWRM Analyst I
Country: Spain
SCIB está buscando un/a Analyst Risk Control para nuestras oficinas en Boadilla del Monte.
Santander Corporate & Investment Banking (Santander CIB) is the Global division within Santander Group who supports most of the complex Corporates and Institutional clients by offering them personalized services and products, in order to satisfy their requirements.
At Santander CIB, we do have an intense risk culture, and it is necessary that all employees have a proactive and responsible behaviour towards the risk management process.
We are very proud to be considered a top organisation with equal opportunities and no discrimination by sex, religion, sexual orientation, marital status, nationality or gender identity.
What will you be doing?
As a SCIB risk analyst, you will be responsible for the analysis and monitoring of the different risk metrics used in SCIB. You will also be accountable for limits and exposures control, following the standards approved by Santander Group for the SCIB portfolio.
On a daily basis you will be working closely with other risk teams within the division (Global, Local units), Front Office, Middle Office, Back Office, Internal and External Audit, etc.
We want you to join us so you can help us with:
Control and exposure analysis for the SCIB portfolio, client, sectors and product (both Credit and Counterparty Credit Risk) at Global and geographies level.
Control, analysis, Reporting and governance of limit excesses on those metrics approved at Client level, SCIB Management, and Risk Appetite (RAS).
Control of framework products limits.
Management of limits / excesses of CCR (counterparty credit risk) on daily basis.
Regular communication with regulators and participation in OSI inspections regulatory and Management information reporting for the SCIB portfolio and clients.
Onboarding process for new SCIB clients and SCIB perimeter Controls.
Overdue Payments and defaults monitoring for Global and Branches.
Leadership on new projects within the Control team.
EXPERIENCE
2 years of experience within the banking sector (or similar).
Experience in risk management, credit and Counterparty credit risk, model risk, and IT systems.
Project Management.
EDUCATION
Required: Bachelor's degree in economy (or similar)/engineering.
Nice to have: Banking, Financial Markets education, data analytics.
SKILLS
Analytical mindset, both technical and financial.
Comfort with dynamic and continuous environment changes.
English: advanced.
Deep knowledge on banking strategies and Counterparty credit risk products.
Ability and comfort when communicating with senior management.
High knowledge on data tools and platforms (Excel, Power Point, Power BI, Qlick Sense).
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