Santander

Espec Riscos Mercado II

Santander

What You'll Do

Act on the admission, implementation, and monitoring of new financial products, ensuring their correct integration into market risk processes and controls. Collaborate with corporate risk areas and global teams, aligning requirements, methodologies, processes, and deliverables. Conduct system configuration and participate in testing, approvals, and validations of implementations.

What We're Looking For

Bachelor's degree in Administration, Economics, Engineering, Accounting, Mathematics, Statistics, or related fields. Knowledge or experience with treasury financial products such as fixed income, foreign exchange, derivatives, and other financial instruments. Advanced English proficiency for frequent interaction with global teams.

Additional Information

Experience Level

Mid-Level

Job Language

Portuguese

Employment Type

Full-time

Work Mode

Remote