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Job Opportunity

Credit Risk Analyst

Credit Risk Analyst-1900144

Description

Brief Summary:
Administrative position in credit risk.  Responsible for credit and counterparty risk monitoring, reporting of Financial Institutions exposures, as a member of the IFIs team within SCIB Risk. 
Responsibilities:
  • Review daily BSNY derivatives and short-term markets reports provided by Control, investigating and commenting to management on any excesses.
  • Monitor and report daily trading activity in SIS to detect excesses over approved limits in accordance with SIS Credit Risk Operating Standards.
  • Organize information on background of securities trading counterparties, researching in internet and talking to equity or fixed income sales team, as part of limits approval process.
  • Maintain a pipeline of requests from front office to assure timely response.
  • Create monthly report on securities trading activities in SIS and other credit risks of SIS.
  • Reconcile data using excel or access as necessary to investigate data discrepancies and to ensure information integrity.
  • Discuss data discrepancies with back office and IT as necessary and ensure corrections are implemented through persistent follow up.
  • Maintain organized electronic files to facilitate audit requests.
  • Support FI and AM teams in investigating problems in reporting.
  • Assist in creation of codes and limits in the credit risk system for FI and AM teams.
  • Assist in creation of PowerPoint proposals and reports to committees.
  • Respond to trading limit inquiries from sales and trading by consulting credit risk system.
  • Remind sales regularly of relevant limits.

Qualifications

Qualifications
  • Strong attention to detail, strong organizational and communication skills
  • Ability to manage workflow to meet deadlines
  • Willingness to take on projects outside of usual responsibilities
  • Interest in learning about systems and how they function at Santander
  • Persistence in following up on open requests
Specialized Knowledge:
  • Required: MS Excel, PowerPoint, Access
  • Desirable: basic understanding of derivatives, repo and securities lending products
Experience:
At least 3 years’ experience in a bank in credit risk or trading.  Willing to consider candidates with minimal experience depending on background and enthusiasm
Education:
BA/BS required, MBA/MA/MS a plus
At Santander, we value and respect differences in our workforce and strive to increase the diversity of our teams. We encourage everyone to apply.

Job

:Risk Management

Primary Location

:New York-New York-45 East 53rd Street - 06547 - NY Corp

Organization

:NY SIS (T5700)

Schedule

:Full-time

Job Posting

:Jan 8, 2019, 5:28:30 PM

AN EQUAL OPPORTUNITY EMPLOYER M/F/Vet/Disabled/SO

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