Job ad: Risk Analyst - Residual Value Risk - Portfolio Management & Control

Santander Consumer Bank

Risk Analyst - Residual Value Risk - Portfolio Management & Control

Oslo, Stavanger, Stockholm, Hvidovre or Helsinki

As Residual Value Risk Analyst you will be responsible for managing and controlling the residual value risk of the portfolios in the four different markets, providing insights and information to relevant stakeholders and governing bodies, both in the Nordics as well as towards our Headquarters in Madrid.

You will perform data analysis based on both quantitative and qualitative data and prepare material that is used to inform top management for enabling decision making.

Santander Consumer Bank