Master's program in financial mathematics/engineering
Cumulative gpa of 3.5 or above
Strong analytical and quantitative skills
Our program provides comprehensive training and introduction to Santander, CIB, and its capabilities, combining this training with practical experience on both technical and interpersonal skills
Job Summary
Our program provides comprehensive training and introduction to Santander, CIB, and its capabilities, combining this training with practical experience on both technical and interpersonal skills.
As a Risk Intern within our CIB Division, you will gain a strong foundation in risk management while working alongside some of the most experienced colleagues in the industry.
Our groups work closely with the trading and technology teams to create and maintain tools for risk management and analytics, to make managers aware of existing and potential risks to the firm and its investors.
Matching Summary
Our program provides comprehensive training and introduction to Santander, CIB, and its capabilities, combining this training with practical experience on both technical and interpersonal skills.
Skills & Requirements
Must-have
Master's program in financial mathematics/engineering
Cumulative GPA of 3.5 or above
Strong analytical and quantitative skills
Strong critical thinking ability
Excellent verbal and written communication
Nice-to-have
Intellectual curiosity and courage
Foreign language skills are a plus
Ability to work independently
Ability to contribute in a team environment
Key Requirements
Anticipated graduation date of May/June 2027
Experience in Python, SQL, or R
Coursework in risk management, finance, statistics, economics and programming