Our Risk Management group within the Corporate & Investment Banking (CIB) Division of Santander supports the firm’s efforts to identify, assess, and mitigate risk
Job Summary
Our Risk Management group within the Corporate & Investment Banking (CIB) Division of Santander supports the firm’s efforts to identify, assess, and mitigate risk.
The Market Risk 2026 Program is for graduate students in master’s program who have an anticipated graduation date of May/June 2027.
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 Risk Management group within the Corporate & Investment Banking (CIB) Division of Santander supports the firm’s efforts to identify, assess, and mitigate risk.
Skills & Requirements
Must-have
quantitative analytics
risk management tools
risk reporting
financial mathematics/engineering master's program