Más empleos:
Strategic Equity Derivatives Trader
Trabajo disponible en:
04810, Madrid, Andalucia, España
Publicado en 2026-07-15
Empresa:
Banco Santander SA
Tiempo completo
puesto Publicado en 2026-07-15
Especializaciones laborales:
-
Finanzas
Mercados de capitales, Comerciante de acciones, Gerente/Analista de Riesgos, Consultor financiero
Descripción del trabajo
Boadilla del Montetime type:
Vollzeitposted on:
Heute ausgeschriebenjob requisition :
Req
1592864
Strategic Equity Derivatives Trader Country:
Spanien
** IT STARTS HERE
** Santander () is evolving from
** a global, high-impact brand
** into a
** technology-driven organization**, and our people are at the heart of this journey.
** Together**, we are driving a
** customer-centric transformation
** that values bold
** thinking, innovation**, and the
** courage to challenge
** what’s possible.
This is more than a strategic shift.
** It’s a chance for*
* ** driven professionals*
* ** to grow, learn, and make a real difference**.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 Corporate & Investment Banking (Santander CIB)
** 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.
** THE DIFFERENCE YOU MAKE
**** Santander Corporate & Investment Banking (Santander CIB)
** is looking for a
** Strategic Equity Derivatives Trader
** based out of
** Boadilla del Monte, Madrid, Spain**.As a Strategic Equity Derivatives Trader, you will play a key role within our Global Markets business, managing the market risk of the Strategic Equity Derivatives trading desk while delivering pricing and execution across a range of equity derivative products for institutional and corporate clients. This is a global role, working closely with colleagues across our international trading platform to provide best-in-class client solutions while maintaining robust risk management standards.
We're shaping the way we work through innovation, cutting-edge technology, collaboration and the freedom to explore new ideas. To succeed in this role, you will be responsible for:
* Managing the market risk of the Strategic Equity Derivatives trading book in line with the desk's risk appetite and limits.
* Pricing and executing Strategic Equity Derivatives transactions for institutional and corporate clients.
* Working closely with Sales, Structuring, Risk, Quants and other Global Markets teams to deliver tailored client solutions.
* Collaborating with trading teams across our global platform to ensure consistent pricing, risk management and client coverage.
* Monitoring market developments, identifying trading opportunities and implementing effective hedging strategies.
* Contributing to the continued development of the Strategic Equity Derivatives franchise through product expertise, innovation and process improvements.
* Maintaining the highest standards of governance, control and risk management while supporting the growth of the business.
** WHAT YOU’LL BRING
** Our people are our greatest strength. Every individual contributes unique perspectives that make us stronger as a team and as an organization. We’re
** enabling teams to go beyond
** by valuing who they are and empowering what they bring.
The following requirements represent the knowledge, skills, and abilities essential for success in this role. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
** Professional Experience
*** Minimum of 2 years' experience in a trading role within Global Markets. (Required)
* Experience trading equity derivatives and managing market risk. (Required)
* Experience with Strategic Equity Derivatives products or structured equity solutions. (Preferred)
** Education
* ** University degree in Finance, Economics, Mathematics, Engineering or another quantitative discipline. (Required)
* · Postgraduate qualification (e.g. MSc or CFA) is advantageous. (Preferred)
** Languages
* ** English (Required)
* Spanish (Preferred)
** Hard Skills
*** Strong understanding of equity derivatives, pricing and market risk management. (Required)
* Bloomberg and advanced Excel skills. (Required)
* Programming knowledge (Python, VBA or…
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