Residual Value Risk Specialist - Scf Hq

Santander

Madrid, Spain
Competitive salary; performance-based bonuses; pre...
Hybrid
5-7 years asset risk management experience
Native or advanced spanish language skills
Advanced english proficiency for international work
Santander is evolving into a technology-driven organization where professionals are expected to take a proactive approach toward risk management

Job Summary

  • Santander is evolving into a technology-driven organization where professionals are expected to take a proactive approach toward risk management.
  • The role involves developing retail decision models, monitoring residual value portfolios, and analyzing automotive market trends across Europe.
  • Employees benefit from a hybrid working model, competitive salary with performance bonuses, and access to global learning platforms.

Matching Summary

Santander is evolving into a technology-driven organization where professionals are expected to take a proactive approach toward risk management.

Salary

Competitive salary; Performance-based bonuses; Preferential banking terms and wellness benefits

Skills & Requirements

Must-have

  • 5-7 years asset risk management experience
  • Native or Advanced Spanish language skills
  • Advanced English proficiency for international work
  • Bachelor's degree in Economics or related field
  • Strong analytical capabilities for forecasting

Nice-to-have

  • Postgraduate studies in Finance or Data Analytics
  • Experience with SAS, SQL, or Python tools
  • Intermediate French language proficiency
  • Subject matter expertise in residual value setting
  • Proven presentation and communication skills

Key Requirements

  • 5-7 years experience in automotive or leasing asset risk
  • Bachelor's degree in Economics, Statistics, or Mathematics
  • Native/Advanced Spanish and Advanced English required

Work Rights

Not specified

Tailored Resume

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