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VP, Portfolio Management Data Science
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Full-time
- Corporate and Investment Banking (CIB) Credit Risk Portfolio Management, within the Credit Risk Area in Second Line of Defense, is a critical component of the Risk Management function in Santander group in the USA, responsible for the monitoring of the CIB’s credit portfolio.
- The scope of the portfolio is +$80Bn in credit exposure, in public and private companies, investment and non-investment grade of the Corporate, Financial Institutions and Structured Finance credits.
- The successful candidate must demonstrate strong background in technology, data analytics, software development, and programming languages such as R, Python and SQL, with expertise in Business Intelligence tools (Shiny, Tableau, PowerBi).
- Computer Science, Statistics, Mathematics, Physics, Econometrics, Computer science or Engineering, Business / Economics.
- MBA, FRM or CFA charter holder is a plus.
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