Repo Trader - Analyst - Grupo Santander

Grupo Santander

Boadilla del Monte

Presencial

EUR 55.000 - 85.000

Jornada completa

hace 27 horas
Sé de los primeros/as/es en solicitar esta vacante
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Ventajas ofrecidas por este puesto de trabajo

Performance bonuses
BeHealthy wellness program
Meal subsidy

Descripción de la vacante

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.

Formación

  • Strong analytical and numerical skills required.
  • Excellent communication and interpersonal abilities.
  • Ability to make quick, sound decisions under pressure.

Responsabilidades

  • Execute short-term repo transactions across European Government Bonds.
  • Provide market levels and pricing indications for Sales.
  • Support Sales in client activity and respond to market/financing requests.
  • Monitor repo rates, liquidity, market conditions, and supply/demand dynamics.
  • Contribute to client financing management and efficient balance sheet use.
  • Identify and analyse relative value and funding opportunities across securities and maturities.
  • Monitor trading risks (market, liquidity, counterparty, settlement).
  • Collaborate with Trading, Sales, Risk, Middle Office and Operations for efficient execution.
  • Develop and improve analytical tools, data processes and trading workflows.
  • Experience in financial markets and stakeholder interaction.

Conocimientos

Strong analytical and numerical skills
Strong communication and interpersonal
Decision making under pressure
Proactive attitude
Stakeholder interaction
Financial market knowledge

Educación

Background in Finance or related functions

Herramientas

Excel

Descripción del empleo

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.

  • competitive salary with performance bonuses
  • BeHealthy wellness program
  • meal subsidy
  • Execute and manage short-term repo transactions across European Government Bonds (General Collateral and later Specials)
  • Provide market levels and pricing indications for Sales and internal stakeholders
  • Support Sales in client activity and respond to market/financing requests
  • Monitor repo rates, liquidity, market conditions, and supply/demand dynamics
  • Contribute to client financing management and efficient use of balance sheet and collateral
  • Identify and analyse relative value and funding opportunities across securities and maturities
  • Monitor trading risks (market, liquidity, counterparty, settlement)
  • Collaborate with Trading, Sales, Risk, Middle Office and Operations to ensure efficient execution
  • Develop and improve analytical tools, data processes and trading workflows
  • Previous experience or exposure to financial markets
  • Experience in Trading is valued but not required
  • Background in Sales, Risk, Middle Office, Treasury, Securities, Finance, Fixed Income or related functions
  • Experience in fast-paced financial environment with stakeholder interaction
  • Strong communication and interpersonal skills
  • Ability to make quick, sound decisions under pressure
  • Proactive attitude and intellectual curiosity
  • Good understanding of financial markets
  • Strong analytical and numerical skills
  • Advanced knowledge of Excel
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