Country: Spain
SCIB (Santander Corporate and Investment Banking) within Santander S.A., is looking for a Credit Risk Manager I, based in our Boadilla del Monte office.
WHY YOU SHOULD CONSIDER THIS OPPORTUNITY
At Santander CIB, we are key players in the transformation of the financial sector. Do you want to join us?
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.
Our mission is to contribute to help more people and businesses prosper. We embrace a strong risk culture and all 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 age, gender, disability, civil status, race, religion or sexual orientation.
WHAT YOU WILL BE DOING
As a Credit Risk Manager, you will manage a team of 4 people and be responsible for the credit risk coverage of several sectors within the Corporates CIB portfolio.
We need someone like you to help us in different fronts:
1. Financial analysis of Corporates, with strong criteria to identify and manage all types of risks. Also, sectorial analysis to be able to anticipate market and industry trends.
2. Review internal ratings to ensure the correct assessment and guarantee the consistency of the portfolio.
3. Deal with different local units to help them in the admission of one-off deals that don't fit under their authorities, and also pre-classify limits for the industries under coverage, always ensuring the correct application of Global policies.
4. Manage a team, and other soft skills like communication abilities, presentation to different forums, teamwork.
EXPERIENCE
1. We are seeking a senior role, with a minimum experience of at least 10 years in credit risk and 3 years in a similar role.
EDUCATION
1. Degree in Business Administration or Economy, with deep knowledge of Accounting and Financial analysis.
SKILLS & KNOWLEDGE
1. High level of English; other languages to be valued.
2. Knowledge of complex financing products, including derivatives.
3. Communication abilities, flexibility, and ability to adapt to a changing environment and teamwork.
OTHER INFORMATION
1. Good academic records, masters or experience abroad to be valued.
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