Capital Markets Sr. Analyst
Country: Spain
WHY YOU SHOULD CONSIDER THIS OPPORTUNITY
At Santander, we are key players in the transformation of the financial sector. Do you want to join our team?
Santander Consumer Finance (SCF) focuses on developing business related to consumer financing products, sales channels, and commercial agreements with dealers, vehicle manufacturers, or retail distribution establishments, as well as commercial functions associated with direct sales (offices, call centers, or digital channels) and indirect sales (through third parties) of consumer financing products.
Santander is proud to be an organization where there is equal opportunity, regardless of race, sex, religion, age, sexual orientation, marital status, disability, nationality, or gender identity.
WHAT YOU WILL DO IN YOUR ROLE
As a Senior Analyst in Capital Markets, your objective will be to integrate with the Secured Financing team in coordination with the Legal, Capital, Treasury, ALM of Santander Consumer Finance, its subsidiaries, and the Santander group.
We need someone like you to help us in various areas:
Planning, structuring, and executing Secured Financing operations (ABS Securitizations) or risk transfer (SRT) of SCF and its subsidiaries
Coordinating and executing derivatives associated with these Operations
Occasional support to Unsecured financing teams in daily administration and execution of issuances
Relationship with Investors and Banks
Preparation of material/presentations to support Roadshows and meetings with Rating Agencies
Understanding and dissemination of new regulatory frameworks
Preparation of materials and participation in corporate governance bodies
Representation of SCF and its subsidiaries in regulatory and sectoral forums
In addition, with the aim of maximizing the execution of capital release measures with the resources dedicated to them both at SCF HQ and in the SCF Units, as well as interacting with the asset mobilization desk, you will also have other types of functions in this area:
Relationship with insurers to mitigate credit risk and optimize dealer capital consumption, through insurance policies (Comprehensive Non-Payment Insurance)
Develop and manage Forward Business Flows to meet the conditions of these agreements
Plan, define, and elaborate the sale of non-strategic assets
Plan and coordinate with SCF Units the execution of Non-Recourse Factoring operations
Define additional risk transfer measures and Stock Finance risk coverage at quarter and year-end (e.g. First Demand Guarantees, Dealer Floor Plans)
Additionally, you may collaborate in the development of other strategic projects in the Financial Management Area, as prioritized at each moment by its Management.
EXPERIENCE
Around years of experience, at least half of them in functions similar to those described in the previous sections or in rating agencies.
EDUCATION
University degree in Economics, Business Administration, or related disciplines, with an MBA or postgraduate training in Financial Management and Banking highly valued.
SKILLS & KNOWLEDGE
Proactivity, results orientation, and planning and organizational skills
Analysis, problem-solving, and decision-making
Negotiation skills and ability to interact with subsidiaries in different countries and with other department heads.
Very high level of spoken and written English, with knowledge of French being valued
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