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Quantitative Senior Analyst
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Quantitative Senior Analyst
Boadilla del Monte, Spain
WHAT YOU WILL BE DOING
Santander CIB is looking for a Quantitative Senior Analyst, based in our Headquarters office.
WHY YOU SHOULD CONSIDER THIS OPPORTUNITY
) we are key players in the transformation of the financial sector. Do you want to join us?
Santander Corporate & Investment Banking (Santander CIB) is Santander's global division that supports some of the world's most complex and sophisticated corporate and institutional clients, offering customized services and value-added wholesale products to best meet their needs.
We embrace a strong risk culture and all of our professionals at all levels are expected to take a proactive and responsible approach toward risk management.
Santander is proud of being an organization where there are equal opportunities regardless of gender identity, culture and disability. Our mission is to contribute to help more people and business prosper.
WHAT YOU WILL BE DOING
As a Quantitative Senior Analyst you will: develop, implement and maintain models to price and risk manage Equity derivatives and Equity structured products within global markets activities.
We need someone like you to help us in different fronts:
- Extend the pricing capabilities of the Quant libraries by improving the existing models and tools, and developing new ones.
- Understand, extend and support the models integrated in the official Capital and EOD PL&Risk engines.
- Provide continuous support to the Equity Derivatives trading desk in their use of quant models and surrounding ecosystem of systems and tools, including risk management and market making systems and automated pricing platforms. Also, support the rest of stakeholders involved in Equity Derivatives business (structuring, sales, risk...).
- Ensure awareness of and adherence to the internal policies of the bank and legislative/regulatory guidelines of relevant external authorities.
- Understanding of customers’ needs and consistently striving to provide the highest standards of service, deliver on promises.
EXPERIENCE
- Minimum 3 years of experience developing models for financial markets business users and/or integrating models in the official production environment.
EDUCATION
- Msc in Maths, Physics, Computer Science, or similar mathematical based disciplines. Master in Quantitative Finance is a plus.
SKILLS & KNOWLEDGE
- Knowledge in quantitative Equity derivatives pricing models and theory.
- Good experience developing models for business users, including model calibration, from model design to validation, release and support in production.
- Good programming skills, preferably C++ and Python.
- Being able to work comfortably in English required, Spanish definitely a plus.
- Strong interpersonal skills and a desire to work in a team environment.
- If you want to know more about us, follow us on:_-
WHAT WE ARE LOOKING FOR
EXPERIENCE
3 to 5 years of relevant work experience
EDUCATION
COMPETENCIES
Accuracy and Attention to Detail (Extensive Experience), Big Data Management and Analytics (Working Knowledge), Communicating for Impact (Working Knowledge), Data Analysis Tools (Working Knowledge), Derivatives (Working Knowledge), Financial Mathematics (Working Knowledge), Interpersonal Relationships (Working Knowledge), Problem Solving (Working Knowledge), Producing Results (Working Knowledge), Programming Languages (Working Knowledge), Statistical Analysis and Measurement (Working Knowledge), Taking Ownership (Extensive Experience)