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Grupo Santander seeks a Securities Finance/Repo trader to manage short-term repo transactions across European Government Bonds and other fixed income. You will collaborate with Trading, Sales and Risk to optimize balance sheet usage and provide pricing indications to internal stakeholders.
The role emphasizes client service, market monitoring, and development of analytical tools within a fast-paced environment.
In this role you contribute to the Securities Finance/Repo trading desk within Santander CIB, managing financing and liquidity across European Government Bonds and other fixed income securities. You will work closely with Trading, Sales and risk teams in a fast-paced, global market environment, building hands-on expertise in repo, collateral and relative-value dynamics. You are responsible for executing short-term repo transactions, monitoring market conditions, and supporting client financing needs. This position offers a clear path to develop trading responsibilities as market knowledge grows, with a focus on impactful client service and efficient balance-sheet use.