Structured Finance and FX Hedging Senior Manager – Country: Spain
Santander Alternative Investments is seeking a Structured Finance and FX Hedging Senior Manager for our offices in Madrid.
WHY YOU SHOULD CONSIDER THIS OPPORTUNITY
At Santander ( we are actively driving the transformation of the financial sector. Would you like to join our team?
The Wealth Management & Insurance division covers three businesses across all Santander Group countries: insurance, asset management, and private banking. We work to provide the best solutions to clients in these three areas across the 10 countries where we operate.
We embrace a strong risk culture and expect every member of our team, regardless of their role, to maintain a proactive and responsible attitude toward risk management.
Santander is proud to be an equal opportunity employer, regardless of race, gender, religion, age, sexual orientation, marital status, disability, nationality, or gender identity.
WHAT YOU WILL DO
As a Structured Finance and FX Hedging Senior Manager, your goal will lead and optimize operations related to currency hedging, structured finance, and capital management in the field of alternative funds.
We need someone like you to help us in several areas:
- FX Hedging : Design, structure, and execute currency hedging (FX) transactions, both from a commercial and legal perspective, ensuring proper risk management and regulatory compliance.
- Structured Finance : Analyze, structure, and coordinate complex financings, particularly those linked to alternative funds, working with internal and external teams to deliver efficient, business-driven solutions.
- Optimize the entity’s capital consumption through the above activities.
EXPERIENCE
- Over 10 years of professional experience with a solid track record in related functions.
EDUCATION
- Bachelor’s degree in Economics, Business Administration, Finance, Engineering, Mathematics, or a similar field.
- Master’s degree in Finance, Banking, Economics, Risk Management, or related areas.
- Specialized Master’s in Financial Markets, Derivatives, or Investment Management.
SKILLS & KNOWLEDGE
- Strong ability to manage multiple tasks simultaneously.
- Agility to quickly learn complex technical matters.
- Very high level of English, as more than 50% of daily work will be conducted in this language.
- Additional training in financial regulation (Solvency II, Basel, etc.) and structured products.
OTHER INFORMATION
- No travel availability required.
If you’d like to learn more about us, follow us at
Idiomas
- Spanish
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