Vice President – CIB XVA (Cross‑Asset XVA)
Santander · New York
Job description
About the role
Santander is seeking a Vice President to lead its Corporate & Investment Banking (CIB) XVA team in New York. The role focuses on cross‑asset XVA pricing, risk management and portfolio optimisation for derivative transactions.
Key responsibilities
- Price and assess cross‑asset derivative transactions, incorporating CVA, DVA, FVA, MVA, ColVA and other XVA components.
- Monitor, analyse and hedge XVA exposures, managing market, credit, funding, margin and collateral risks.
- Partner with Trading, Sales and Structuring to evaluate transaction economics and explain XVA impacts to clients.
- Collaborate with Market Risk, Credit Risk, Finance and control functions to ensure compliance with risk limits, governance standards and US/EU regulatory requirements.
- Work with XVA Quant teams to support pricing methodologies, model enhancements and scenario analytics.
- Provide pricing, risk management and hedging support during New York trading hours, with occasional coverage for European transactions.
- Identify portfolio optimisation opportunities and contribute to process, analytics and system improvements.
Required profile
- Bachelor’s degree in Finance, Economics, Mathematics or a related field.
- Significant experience in XVA pricing, risk management or derivative analytics.
- Strong understanding of regulatory requirements in the US and Europe.
Required skills
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Published 1 month ago
Expires 2 weeks from now
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Santander
New York
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