Asset Allocation Strategist Jr Vp

Santander

Boadilla del Monte, Spain
Competitive salary; performance-based bonuses; pre...
Hybrid
5-7 years sell-side research experience
Cross-asset allocation strategy formulation
Macroeconomic and market analysis skills
The role involves leading the formulation of cross-asset allocation views for institutional and retail clients while conducting in-depth macroeconomic analysis

Job Summary

  • The role involves leading the formulation of cross-asset allocation views for institutional and retail clients while conducting in-depth macroeconomic analysis.
  • Santander is evolving into a technology-driven organization that values bold thinking, innovation, and a proactive approach to risk management.
  • Candidates will benefit from a hybrid working model, competitive salary with performance bonuses, and access to global learning platforms.

Matching Summary

The role involves leading the formulation of cross-asset allocation views for institutional and retail clients while conducting in-depth macroeconomic analysis.

Salary

Competitive salary; Performance-based bonuses; Preferential banking terms and wellness benefits

Skills & Requirements

Must-have

  • 5-7 years sell-side research experience
  • Cross-asset allocation strategy formulation
  • Macroeconomic and market analysis skills
  • Strong quantitative and Excel proficiency
  • English and Spanish language fluency

Nice-to-have

  • Python programming experience
  • Data visualization tools expertise
  • CFA certification progress
  • Client presentation and roadshow skills
  • Power BI or Tableau familiarity

Key Requirements

  • Bachelor's or Master's degree in Finance, Economics, Engineering, or Quantitative discipline
  • 5-7 years of relevant experience in asset management or macro strategy
  • Progress toward CFA or similar certification preferred

Work Rights

Not specified

Tailored Resume

Cover Letter