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Job description
A comprehensive 18-month trainee program in Finance & Risk at Santander, designed for recent graduates with a background in economics, mathematics, or finance. The program offers deep exposure to various banking domains like Risk Management, Modeling, Treasury, and Capital Markets, with opportunities to develop professional skills and contribute to innovative banking solutions.
As a Trainee Finance & Risk, your primary responsibilities will include actively participating in risk management projects, supporting financial modeling and analysis, contributing to strategic banking initiatives, and engaging in various departments such as Risk Management, Controlling, Treasury, and Capital Markets. You will be expected to apply quantitative skills to develop innovative solutions for managing financial risks in a dynamic banking environment.
The ideal candidate will possess a Bachelor's or Master's degree in economics, mathematics, or finance, with a strong numerical aptitude and demonstrated interest in the financial sector. Required skills include excellent analytical capabilities, proficiency in data analysis tools, strong German and English language skills, and the ability to work effectively in agile, international team environments. Candidates should have preferably completed internships or worked as student employees to gain preliminary professional experience.
Santander offers a competitive compensation package starting at €3,992 for Bachelor's and €4,213 for Master's degree holders. Additional benefits include annual bonus, asset-building benefits, health and sports offerings, flexible working hours, mobile work options, 30 vacation days, birthday half-day off, and a unique corporate culture emphasizing personal development, mentorship, and professional growth opportunities.