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Strategy – Cash Management Transaction Banking Analyst

Trabajo disponible en: 39001, Santander, Cantabria, España
Empresa: Banco Santander SA
Tiempo completo puesto
Publicado en 2026-02-10
Especializaciones laborales:
  • Finanzas
    Analista financiero, Gerente/Analista de Riesgos
Rango Salarial o Referencia de la Industria: 30000 - 50000 EUR Anual EUR 30000.00 50000.00 YEAR
Descripción del trabajo
Strategy – Cash Management Transaction Banking Analyst Country:
Spain
** 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 Cash Management – Liquidity Strategy Analyst based in Boadilla del Monte (Madrid), within GTB – Global Cash Management |  this role, you will support the daily management of the Cash Management liquidity business, contributing to liquidity portfolio management, product development initiatives and pricing strategy optimisation. You will provide analytical support to the GTB Liquidity Desk and work closely with multiple internal stakeholders to ensure effective execution and ongoing development of liquidity solutions.

We’re shaping the way we work through innovation, data-driven decision making, collaboration and the freedom to explore new ideas. To succeed in this role, you will be responsible for:
* Supporting senior team members in the execution of the Liquidity product development roadmap and participation in product initiatives.
* Managing and analysing liquidity portfolios, identifying risks and opportunities, and forecasting inflows and outflows.
* Monitoring interest rate, credit, liquidity and concentration risks within the liquidity portfolio.
* Supporting pricing strategy and execution of liquidity instruments, including deposits and non-maturing deposits (NMDs).
* Supporting strategic funding plans and diversification of funding sources.
* Producing analysis and reporting for senior management on liquidity positions, funding costs and market developments.
* Developing dashboards and analytics to track liquidity trends, cash usage and market conditions.
* Assisting in the enhancement of liquidity tools and reporting automation using Excel, Python and BI tools.
* Building and maintaining strong collaborative relationships with internal stakeholders, including Front Office, Treasury, Finance, Risk, Regulatory Reporting, Payments and Operations teams.
* Supporting senior team members in the daily management of Cash Management activities.
* Demonstrating ownership, accountability and commitment to achieving both team and individual objectives.
** 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
*** 3 - 5 years of experience in Cash Management, Liquidity, Treasury or related analytical roles (Required)###
** Education
* ** Bachelor’s or Master’s Degree (Required)###
** Languages
* ** English C1 (Required)
* Additional languages:
Portugués###
** Hard Skills
*** Strong Cash Management background (Required)
* Experience in liquidity modelling, cash-flow forecasting and treasury systems (e.g. Murex, Bloomberg) (Required)
* Ability to interpret balance sheets and funding plans (Required)
* Advanced proficiency in…
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