Market Risk Associate — Python & Valuation Focus
Santander US
Santander seeks a Market Risk Associate to support risk management infrastructure and daily reporting across a broad range of markets. You will analyze risk metrics, assist in valuation of complex securities, and collaborate with trading, finance, operations, and technology teams to implement robust risk controls. Qualifications include a quantitative degree and 1–4 years in market risk or related fields, with strong Python and Bloomberg/Intex usability. #J-18808-Ljbffr Santander US
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