Senior Portfolio Manager - Madrid, España - BANCO SANTANDER S.A.

BANCO SANTANDER S.A.
BANCO SANTANDER S.A.
Empresa verificada
Madrid, España

hace 3 semanas

Isabel García

Publicado por:

Isabel García

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Descripción
Senior Portfolio Manager - Alternative Investment


Country:
Spain


WHAT YOU WILL BE DOING

Santander Asset Management is looking for a Senior Portfolio Manager - Alternative Investments, based in our Madrid office.

WHY YOU SHOULD CONSIDER THIS OPPORTUNITY

Santander Asset Management is a global structure with strong local roots in Europe and Latin America. With presence in 11 countries, we have assets of more than €175 billion* working for institutional clients, individual clients, and intermediaries such as Santander banks in all geographies. Our local knowledge makes us real experts on the regions we operate, allowing us to provide you with unique opportunities to develop your career. Our philosophy is to manage our investments to capture maximum upside but also downside protection. We offer a comprehensive range of investment solutions in illiquid assets, providing the right answers to our investors and partners.

Santander is proud of being an organization where there are equal opportunities regardless of gender identity, culture and disability. Our mission is to contribute to help people and businesses to prosper.


WHAT YOU WILL BE DOING


As a
Senior Portfolio Manager - Alternative Investment you will supporting the Trade Finance Investment strategy as part of its leadership teams with credit, valuation, risk management and legal negotiations.


We need someone like you to help us in different fronts:

  • Lead the execution and implementation of Investment Committees ́ decisions in the daily activities of the different funds.
  • Lead and Support rating agency discussions and analysis for the different alternative Investment strategies.
  • Lead the external rating process of several of debt alternative funds
  • Lead Credit and risk analysis for the different transactions and portfolios, supporting from a Fund Management perspective the discussions on different valuation methodologies.
  • Lead the negotiation with banks and other financial institutions to obtain financing (subscription lines and NAV financing) for several of our debt alternative funds
  • Help on the structuring and analysis of some of our origination on sub investment grade trade finance programs.
  • Lead the delivery of supporting documentation for each acquisition such as legal documentation, valuation methodologies, and credit submissions.
  • Support the management team in the search for alternative investment strategies.

EXPERIENCE

  • 710year (VP level) professional with experience in several of the following aspects:
  • Fund Financing
  • Trade receivables and or working capital solutions within an alternative finance provider
  • Rating agency experience
  • ABS/CLO structuring
  • Minimum years of experience in relevant fields is 10+ years.

EDUCATION
SKILLS & KNOWLEDGE

  • Solid international experience.
  • Very familiar with fund terminology and proven record obtaining rating from Moodys, S&P, Fitch, etc
  • Ideally native speaker in English or French or German.
  • Must be proficient in English and Spanish.
  • Willing to travel and work in a very intense and demanding business.
  • Credit Derivatives, Structured Trade Finance, Credit analysis, Structured Finance, Debt Capital markets, Credit Funds.
  • Law of England and LSNY lending structures.

OTHER INFORMATION

  • Excellent attention to detail to credit, legal and structuring legal frameworks is a must.
  • Strong interpersonal capabilities, building trust with senior management and peers is a must. A selfmotivated character and focused to achieve objectives and over deliver objectives is a must.
  • Rigorous analysis skills in risk management and organization are a must

Idiomas:


  • Spanish

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