Portfolio Manager Corporate Credit Risk Expert I - Boadilla del Monte, España - Santander

Santander
Santander
Empresa verificada
Boadilla del Monte, España

hace 2 semanas

Isabel García

Publicado por:

Isabel García

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Descripción
Portfolio Manager Corporate Credit Risk Expert I


Country:
Spain


WHAT YOU WILL BE DOING

SCIB is looking for a DSG / ESG Credit Risk Analyst/Manager based in our BOADILLA DEL MONTE (HEADQUARTERS) office.

WHY YOU SHOULD CONSIDER THIS OPPORTUNITY

Santander Corporate & Investment Banking (SCIB) is Santander's global division that supports some of the world's most complex and sophisticated corporate and institutional clients, offering customized services and value-added wholesale products to best meet their needs. We embrace a strong risk culture and all of our professionals at all levels are expected to take a proactive and responsible approach toward risk management.

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 more people and business prosper.


WHAT YOU WILL BE DOING


As a
DSG / ESG Credit Risk Analyst (associate/VP) , you will
be responsible for undertaking the analysis of credit requests linked to Digital and ESG ecosystems.

You will work alongside the Front Office, product specialists and other team within the organization, both in SCIB and elsewhere, to reach an informed conclusion on such requests.

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

  • Identify value in credit admission requests within the venture debt space
  • Perform risk analysis in the digital and ESG spaces, especially in early stages
  • Be capable of suggesting mitigating actions to address associated risks
  • Undertake monitoring exercise on the existing portfolio, assessing on potential mitigating actions
  • Support improvement of internal governance within ESG / Digital spaces, proposing solutions to alleviate operational risk & streamline processes
  • Effective engagement with internal and external stakeholders, in order to align the group ́s appetite and procedures to existing policies and market practices
  • Dependent on experience, mentoring of more junior members of the team

EXPERIENCE

  • Minimum 5 years within the credit risk space, preferably in the venture debt space.
  • Profiles with front office expertise (private equity, venture capital, venture debt, seed/ preseed capital, M&A, etc) will also be considered
  • Profiles in the consultancy industry, with a focus on technical ecosystems related to DSG (fintechs, insurtechs, agritechs, etc.) and ESG (hydrogen, battery storage, etc.) will also be considered.

EDUCATION

  • Bachelor ́s degree in Business, Finance, Mathematics or Engineering.
  • CFA or similar certification would be desirable
  • MBA or similar qualification, either in Finance, Data Analytics or Engineering would represent a plus
SKILLS & KNOWLEDGE

  • Strong analytical mindset, both financially and technically (desirable)
  • Opened to rapidly evolving environments, showing adaptable skills
  • Efficient player, being results oriented, and being able to interact swiftly and efficiently with a wide range of stakeholders (showing proactivity)
  • Good verbal and writing skills, being able to deliver well informed opinions in a senior management context
  • Team player & collaborative attitude
  • Full professional proficiency in English (minimum C1) and Spanish. An additional European language would be desirable

OTHER INFORMATION

  • Occasional travelling might be required.
  • Hybrid working structure (onsite and working from home)

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