At a Glance
- Tasks: Lead FX and macro risk solutions for institutional clients, delivering tailored investment strategies.
- Company: Join Santander Global Banking & Markets, a leader in FX and macro solutions.
- Benefits: Competitive salary, generous pension contributions, 30 days holiday, and private medical insurance.
- Other info: Dynamic role with opportunities for growth and collaboration across global teams.
- Why this job: Make a real impact in finance while working with sophisticated clients and innovative solutions.
- Qualifications: Degree in Finance or related field; strong analytical and communication skills required.
The predicted salary is between 80000 - 100000 £ per year.
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.
Responsibilities
- 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 proactive idea generation.
- Working closely with internal stakeholders including Sales, Trading, Research, Bankers, DCM, Legal, Credit Risk, Compliance, XVA, Middle Office and Operations.
- Collaborating across regional teams in Europe, LatAm and other international markets to support cross‑border client activity.
- Developing solutions that consider the specific accounting, regulatory, capital and liquidity constraints of different client segments.
- Supporting adherence to applicable regulatory requirements including MiFID / UK MiFID, EMIR / UK EMIR, product governance, clearing, margining, reporting and ISDA / CSA frameworks.
- Contributing to the continued growth and positioning of Santander Global Banking & Markets as a leading FX and macro solutions provider.
Qualifications
- Educated to degree level in a relevant discipline such as Finance, Mathematics, Engineering, Economics, Physics or another quantitative subject.
- CISI Regulatory Module.
- CISI Securities Module.
- CISI Derivatives Module.
- Strong communication and stakeholder management skills with the ability to explain complex concepts clearly to clients and internal stakeholders.
- Strong analytical and quantitative problem‑solving capabilities.
- Ability to manage multiple workstreams and transactions in a fast‑paced environment.
- Commercial mindset with strong attention to detail and risk awareness.
Desirable
- 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.
- Strong 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.
As well as a competitive salary, you'll enjoy a benefits package that you can tailor to your needs.
Benefits
- Eligible for a discretionary performance‑related annual bonus.
- Pension with generous contributions of up to 12.5% from Santander, depending on your own contribution and length of employment with us.
- 30 days holiday plus bank holidays, with the option to purchase up to 5 contractual days per year.
- Company funded individual private medical insurance.
- Voluntary healthcare benefits at discounted rates such as private medical insurance for your family, dental insurance, healthcare cash plan and health assessments.
- Benefits supporting you and your family, such as death‑in‑service benefit, income protection, and voluntary life assurance and critical illness cover.
- Share in Santander's success by investing in our Sharesave and Partnership shares plans.
VP, FX Structuring & Macro Risk Solutions in City of Westminster employer: Santander Bank
Santander Global Banking & Markets is an exceptional employer, offering a dynamic work environment that fosters collaboration and innovation in the financial sector. With a strong focus on employee growth, you will have access to tailored training and development opportunities, alongside a competitive benefits package that includes generous pension contributions and comprehensive healthcare options. Located in a vibrant financial hub, you will be part of a team that values diversity and encourages proactive idea generation, making it an ideal place for professionals seeking meaningful and rewarding careers.
StudySmarter Expert Advice🤫
We think this is how you could land VP, FX Structuring & Macro Risk Solutions in City of Westminster
✨Tip Number 1
Network like a pro! Reach out to your connections in the finance world, especially those who work with FX and macro solutions. A friendly chat can lead to insider info about job openings that aren't even advertised yet.
✨Tip Number 2
Prepare for interviews by brushing up on your technical knowledge. Make sure you can discuss FX derivatives, risk management strategies, and pricing models confidently. We want you to shine when it comes to showcasing your expertise!
✨Tip Number 3
Tailor your approach for each interview. Research the company’s recent projects and challenges in the FX market. This shows you're not just another candidate; you're genuinely interested in how you can contribute to their success.
✨Tip Number 4
Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who take the initiative to connect directly with us.
We think you need these skills to ace VP, FX Structuring & Macro Risk Solutions in City of Westminster
Some tips for your application 🫡
Tailor Your CV:Make sure your CV reflects the skills and experiences that align with the VP, FX Structuring & Macro Risk Solutions role. Highlight your expertise in FX, macro markets, and risk management solutions to catch our eye!
Craft a Compelling Cover Letter:Your cover letter is your chance to shine! Use it to explain why you're the perfect fit for this role. Share specific examples of how you've delivered bespoke risk management solutions in the past.
Showcase Your Analytical Skills:Since this role requires strong analytical capabilities, be sure to include any relevant projects or experiences that demonstrate your problem-solving skills. We love seeing how you tackle complex challenges!
Apply Through Our Website:We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for this exciting opportunity. Don’t miss out!
How to prepare for a job interview at Santander Bank
✨Know Your FX and Macro Fundamentals
Make sure you brush up on your knowledge of FX derivatives, pricing theories, and risk management strategies. Being able to discuss these concepts confidently will show that you're not just familiar with the jargon but can apply it in real-world scenarios.
✨Tailor Your Examples
Prepare specific examples from your past experiences that demonstrate your ability to develop bespoke solutions for institutional clients. Highlight instances where you've successfully managed complex transactions or built strong client relationships, as this is crucial for the role.
✨Showcase Your Analytical Skills
Be ready to discuss how you've used analytical tools and techniques in previous roles. Whether it's scenario analysis, stress testing, or trade analytics, showcasing your quantitative problem-solving capabilities will set you apart from other candidates.
✨Engage with Stakeholders
Since the role involves collaboration with various internal teams, prepare to discuss how you've effectively communicated complex ideas to different stakeholders. Demonstrating your strong communication skills and stakeholder management experience will be key to impressing the interviewers.