Santander

Finance

SCIBVP,FXStructuring

London, United Kingdom; Stockholm, Sweden FULL TIME Remote Friendly
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Mid candidates.

The Brief

“SCIB VP, FX Structuring at Santander. Skills: FX Structuring, Risk Management, Derivatives, Client Solutions. Originate, structure, and support execution of FX and macro risk management strategies. Develop tailored hedging, investment, yield enhancement and capital-efficient solutions”

What You'll Achieve.

Contribute to the continued growth and positioning of Santander Global Banking & Markets as a leading FX and macro solutions provider

Industry & Context.

Finance
Problems you'll solve

Analytical and quantitative problem-solving capabilities

What They're Looking For.

Must Have

Degree level in Finance, Mathematics, Engineering, Economics, Physics or quantitative subject, CISI Regulatory Module, CISI Securities Module, CISI Derivatives Module, Communication and stakeholder management skills, Analytical and quantitative problem-solving capabilities, Ability to manage multiple workstreams and transactions, Commercial mindset with attention to detail and risk awareness

Nice to Have

Comprehensive understanding of IR and FX derivatives pricing theory, valuation methodologies and XVA concepts, Detailed knowledge of the full IR and FX derivatives product suite, Quantitative understanding of derivatives pricing, volatility, Greeks, payoff construction, hedging dynamics and risk sensitivities, Understanding of counterparty credit risk, regulatory capital consumption and balance sheet optimisation considerations, Knowledge of institutional regulatory frameworks, including MiFID / UK MiFID, EMIR / UK EMIR, product governance, clearing, margining, reporting and ISDA / CSA documentation, Experience building and interpreting scenario analysis, stress testing, payoff modelling, back-testing and relative value analysis, Understanding of corporate finance and Debt Capital Markets transactions, Knowledge of IAS / IFRS accounting principles relevant to derivatives and hedging strategies, Understanding of credit and market risk calculations relevant to derivative products, Programming or technical skills in VBA, Python or similar tools for analytics, automation and data analysis, Additional language skills, particularly Spanish, French, Italian, German or Portuguese

What You'll Do.

and support execution of FX and macro risk management strategies

Develop tailored hedging

yield enhancement and capital-efficient solutions

Produce high-quality client presentations

trade ideas and transaction proposals

Deliver pricing analysis

payoff modelling and risk scenario analysis

Support full transaction lifecycle

Monitor existing transactions for opportunities

Build and strengthen client relationships

Collaborate across regional teams for cross-border activity

Develop solutions considering client constraints

How You'll Work.

Team & Collaboration

Partner with Sales teams; Work with wider Global Markets stakeholders; Work closely with internal stakeholders including Sales, Trading, Research, Bankers, DCM, Legal, Credit Risk, Compliance, XVA, Middle Office and Operations; Collaborate across regional teams

Communication Scope

Explain complex concepts clearly to clients and internal stakeholders

Process & Methodology

Manage multiple workstreams and transactions

Full Job Description

SCIB VP, FX Structuring Country: United Kingdom **Key activities** The Vice President within the Risk Solutions Group will perform an FX and Macro Structuring role focused on delivering bespoke risk management, investment and financing solutions to corporate and institutional clients. Risk Solutions Group specialises in the design and execution of tailored solutions across FX, rates and macro markets, supporting clients with hedging, capital optimisation, liquidity management and investment strategies. The role will focus primarily on sophisticated institutional clients, including banks, asset managers, pension funds, insurers, hedge funds, supranationals, private capital investors and other financial institutions. The successful candidate will provide structuring expertise, pricing support, trade analytics and solution development across UK, European and Americas client franchises in partnership with Sales teams and wider Global Markets stakeholders. Key responsibilities include: * Originating, structuring and supporting the execution of FX and macro risk management strategies for a defined portfolio of institutional and corporate clients. * Developing tailored hedging, investment, yield enhancement and capital-efficient solutions across FX spot, forwards, swaps, vanilla options, structured FX derivatives and selected cross-asset solutions. * Producing high-quality generic and bespoke client presentations, trade ideas and transaction proposals. * Delivering pricing analysis, trade analytics, payoff modelling and risk scenario analysis to support client transactions. * Supporting the full transaction lifecycle, including idea generation, pricing coordination, approvals, documentation, execution and post-trade monitoring. * Monitoring existing transactions to identify restructuring, unwind, extension, collateral optimisation or hedging adjustment opportunities. * Building and strengthening client relationships through market insight, structuring expertise and proacti

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