Search jobs > New York, NY > Market risk associate

Market Risk Analytics Associate/ VP, Corporate & Investment Banking

Santander Holdings USA Inc
New York, NY, United States
$200K a year
Full-time

Market Risk Analytics Associate / VP, Corporate & Investment BankingCountry : United States of America

Seeking a highly detail-oriented Market Risk Associate / VP to join our team at Santander US Capital Markets.

The ideal candidate shall have extensive knowledge of fixed income markets, be proficient in Python, and possess around 5-10 years of experience.

This role involves close collaboration with the trading desk, other risk teams, IT, and primarily focuses on Market Risk analytic.

Responsibilities

Daily operation on Market Risk data production

  • Provide day-to-day production support from Market Risk prospective, validate Market Risk assumptions, check data and calculation correctness, validate model assumptions
  • Collaborate with IT and other support teams to troubleshoot and resolve technical issues.

Troubleshooting

Monitor risk systems and processes to identify potential issues before they impact business, management, and other internal clients.

Project and change management

  • New product risk data development and testing
  • Risk system update testing / backtesting
  • Collaborate with project team, product management, and collaborators on assigned aspects of the project

Automation and Process Improvement :

Utilize Python scripting (or similar languages) to automate routine tasks and improve the efficiency of the risk monitoring process

Qualifications

  • Bachelors degree in a quantitative discipline such as finance, statistic, mathematics, data science, or computer science
  • 5-10 years of experience in Market Risk at banks or similar financial institutions
  • Proficient with Convertible Bonds and Equities
  • Strong knowledge and understanding of the structured fixed-income products and equity derivatives
  • Experience on buildouts and deep understanding of Market Risk metrics such as VaR, SVaR, stress testing, and sensitivity analysis across Fixed Income and Equities.
  • Quant finance knowledge Bond yield calculation, Mortgage-Backed Securities, VaR, PnL calculations
  • Proficient in Python is a MUST
  • Proficient in database queries
  • Experience working with market data sources and trading systems such as Bloomberg Terminal
  • Exposure to PolyPaths, Intex, Yieldbook, Bloomberg API
  • Familiarity with other programming languages or data analysis tools (SQL, VBA)
  • Knowledge of front-office systems and workflow
  • Interest in building financial application and risk systems

Skills

  • Strong understanding of quantitative models
  • Strong troubleshooting skills
  • Strong project, management, and organizational skills
  • Ability to communicate effectively with peers that may not have quantitative or Market Risk backgrounds
  • Excellent communication and people skills, with the ability to collaborate effectively with stakeholders at all levels.
  • Ability to work independently and manage multiple priorities in a demanding environment

Diversity & EEO Statements : At Santander, we value and respect differences in our workforce and strive to increase the diversity of our teams.

We actively encourage everyone to apply.

Santander is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, genetics, disability, age, veteran status or any other characteristic protected by law.

Working Conditions : Frequent Minimal physical effort such as sitting, standing and walking. Occasional moving and lifting equipment and furniture is required to support onsite and offsite meeting setup and teardown.

Physically capable of lifting up to fifty pounds, able to bend, kneel, climb ladders.

Employer Rights : Employer Rights : This job description does not list all of the job duties of the job. You may be asked by your supervisors or managers to perform other duties.

You may be evaluated in part based upon your performance of the tasks listed in this job description. The employer has the right to revise this job description at any time.

This job description is not a contract for employment and either you or the employer may terminate at any time for any reason.

The base pay range for this position is posted below and represents the annualized salary range. For hourly positions (non-exempt), the annual range is based on a 40-hour work week.

The exact compensation may vary based on skills, experience, training, licensure and certifications and location.

Base Pay Range

Minimum : $116,250.00 USD

$116,250.00 USD

Maximum : $200,000.00 USD

$200,000.00 USD

Primary Location : New York, NY, Madison Ave Corp

Other Locations : New York-New York

Organization : Santander US Capital Markets LLC

Required

Preferred

Job Industries

  • Other
  • 12 hours ago
Related jobs
Promoted
Sumitomo Mitsui Banking Corporation (SMBC)
New York, New York

Backed by the capital strength of SMBC Group and the value of its relationships in Asia, the Group offers a range of commercial and investment banking services to its corporate, institutional, and municipal clients. Headquartered in Tokyo and with a 400-year history, SMBC Group offers a diverse rang...

Promoted
NASC GLOBAL
New York, New York

Internal audit, Risk management, Compliance, Financial analysis, Corporate banking, Investment banking, Stakeholder management, Audit strategies, Business controls. NASC GLOBAL is proud to collaborate with our respected client in search of a talented Audit Supervisor for their Global Corporate and I...

Promoted
Sumitomo Mitsui Banking Corporation (SMBC)
New York, New York

Backed by the capital strength of SMBC Group and the value of its relationships in Asia, the Group offers a range of commercial and investment banking services to its corporate, institutional, and municipal clients. Ensure business partners are aware of their risk responsibilities (operational, mark...

MUFG
New York, New York

The Business Unit Risk & Control Associate position is within the Japanese Corporate Banking (JCB) Business Unit, reporting to the Business Unit Risk Control Officer. The primary role is to provide analytical & technical support to the Risk & Control unit in conformance with the various enterprise-w...

Fenwick & West LLP
New York, New York

Fenwick is a leading technology and life sciences law firm with a cutting edge, internationally recognized, dynamic corporate practice with offices in Northern California, New York, Los Angeles, Seattle, and Washington Fenwick’s corporate group provides services to technology and life sciences comp...

MUFG
New York, New York

Junior Corporate Credit Risk Professional supporting commercial lending & investment banking business primarily to US subsidiaries of Japanese corporate customers. Critical function of analyzing credit risks of the customers and determining risk ratings based on internal procedures / policies and gu...

Truist
New York, New York

In-depth knowledge of investment banking, market, industry sector and/or financial products . Works closely with senior banking professionals, product specialists, clients and other internal and external constituencies to help drive the business growth . Analysts, Interns, and Associates) by assigni...

BMO
New York, New York

Corporate Banking is an integral part of BMO Capital Markets’ Investment and Corporate Banking group which offers corporate, institutional and government clients a complete range of financial services, including lending, equity and debt capital raising, structured finance, M&A, treasury and market r...

Morgan Stanley
New York, New York

Liaise with business personnel, risk managers and Corporate Treasury to ensure the appropriateness of the representation of Investment Management liquidity risks. Identifying, assessing, and monitoring financial risks related to the Firm's Investment Management business, with specific focus on its P...

Santander Holdings USA Inc
New York, New York

Product Specialist, Private Debt Mobilization (PDM) - Corporate & Investment Banking (CIB)Product Specialist, Private Debt Mobilization (PDM) - Corporate & Investment Banking (CIB). Pursue new investment prospects within existing or untapped markets. Pursue new investment prospects within existing o...