Regístrate para acceder a todas las funciones de nuestro servicio
  • Búsqueda de ofertas de trabajo
  • Favoritas
  • Crear CV
    Nuevo
  • Salario
  • Alertas de empleo

Cash Management Liquidity Product Analyst

Dormont Manufacturing Co

Cash Management Liquidity Product 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

SCIB - GTB Cash Management is looking for a Cash Management Liquidity Product Analyst based out of Boadilla del Monte office (Madrid).

As a Cash Management Liquidity Product Analyst, you will drive the management of the SCIB Cash Management liquidity business. The role focuses on Liquidity portfolio management (analyzing and optimizing liquidity positions), product development, liquidity pricing strategies optimization, regulatory metrics control, evolving regulatory GTB models, while providing analytical support to the GTB Liquidity responsible.

The analyst works closely with Sales, Alco, Payments teams, Risks teams and supporting senior team members on the Cash Management activity.

We are looking for someone willing to join a dynamic team, with skills to interact with different stakeholders (functional and international) to take ownership of the tasks assigned.

Key Responsibilities

  • Product Development: Support senior team members on the Liquidity product development road map (Assist and participate on product initiatives)
  • Risk management: Monitor interest rate, credit, liquidity, and concentration risks within the liquidity portfolio
  • Drive pricing strategy and execution of Liquidity instruments (depos, NMDs, etc)
  • Support strategic funding plans and diversification of funding sources.
  • Portfolio management: portfolio analysis identifying risks & opportunities, forecasting inflows/outflows , analysis and reporting to senior management on liquidity positions, funding costs & market developments, etc
  • Data, Analytics: define dashboards and analytics to track liquidity trends, cash usage, and market conditions
  • Assist in the enhancement of liquidity tools and reporting automation (Python, Excel, BI tools).
  • Building and maintaining collaborative working relationships within internal stakeholders (coordinate with Front Office, Treasury, Finance, Risk, Regulatory Reporting, and Operations)
  • Commitment to achieve team and personal goals

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

  • 1-3 years
  • Cash Management background

Education

  • Bachelor’s / Master’s Degree

Languages

  • Proficiency in Spanish and English (Required)

Hard Skills

  • Expert in computer tools (Excel & Power Point)
  • Experience with data management and AI tools.
  • Ability to interpret balance sheet, funding plans
  • Experience with liquidity modelling, cash-flow forecasting, and treasury systems (e.g., Murex, Bloomberg) (Preferred)

Soft Skills

  • Strong communication and execution skills
  • Excellent analytical and problem-solving abilities
  • Skills to interact with different stakeholders (functional and international)
  • Commitment to achieve team and personal goals

WE VALUE YOUR IMPACT

Your contribution matters , and it’s recognized. You can expect a fair, competitive reward package that reflects the impact you create and the value you deliver. But we know rewards go beyond numbers.

  • We’re enable our teams to go beyond through global opportunities and broad career paths.
  • Learning for life. Access hundreds of courses on our platforms, including exclusive access to our global learning space: Santander Open Academy
  • Competitive rewards. Receive a highly competitive salary with performance-based bonuses, motivating you to keep growing with us.
  • Financial advantages. Benefit from preferential banking terms, special interest rates on loans, life insurance, and more.
  • Your health is our priority. Through BeHealthy, our global wellness programme, we promote Holistic wellbeing.
  • We know family is everything. That’s why we offer childcare support and family-friendly programmes tailored to each life stage.
  • Always by your side. Get access to Santander Contigo , our program for employees and their families offering legal, emotional, and administrative advisory services.
  • Extra benefits. Gym/WellHub membership, medical centers in some of our facilities, meal subsidy, parking, shuttle service from various points in Madrid, as well as exclusive discounts and offers for Santander employees. And that’s only the beginning—we’ll tell you more when you join!

LOCAL COMPLIANCE

Santander is proud of being an organization where there are equal opportunities regardless of age, gender, disability, civil status, race, religion or sexual orientation. We are committed to providing an inclusive and accessible application process for all candidates.

#J-18808-Ljbffr

Oferta de empleo publicada 22 horas atrás
Ofertas similares que pueden interesarteSegún la Cash Management Liquidity Product Analyst en Boadilla del Monte, Comunidad de Madrid
  •  ...Santander is seeking a Cash Management Liquidity Product Analyst for the Boadilla del Monte office near Madrid. You will drive liquidity portfolio management, support product development, and optimize pricing strategies while coordinating with Sales, Risks, and regulatory... 
    Cash
    Trabajar en la oficina

    Dormont Manufacturing Co

    Boadilla del Monte, Comunidad de Madrid
    22 horas atrás
  •  ...Santander is seeking a Managing Director – Global Head of Origination, Wholesale Banking Cash Management, based in Madrid. You will lead the global origination strategy...  ...revenue growth, and collaborate with risk, product, coverage, and operations to deliver integrated... 
    Cash
    Trabajo híbrido

    Dormont Manufacturing Co

    Boadilla del Monte, Comunidad de Madrid
    22 horas atrás
  •  ...future. Senior Data Analyst – Treasury Location:...  ...closely with Treasury, Product and Tech teams to coordinate...  ...helping the Cash management, ALM and Treasury Reporting...  ...reduce Treasury costs, liquidity data analysis to help ALM team manage daily liquidity obligations... 
    Cash
    Práctica
    Trabajar en la oficina
    Trabajo híbrido

    Ebury

    Madrid
    2 días atrás
  •  ...Overview We are seeking a Staff Product Manager to serve as an internal PM embedded within the...  ...Managers and Business Systems Analysts to align capacity with roadmap commitments...  .... ~ Deep domain expertise in Quote‑to‑Cash systems – Salesforce CPQ, Zuora Billing,... 
    Cash
    Contrato

    The Consulting Solutions

    Madrid
    22 horas atrás
  •  ...IRIUM busca un IT Project Manager Lead con más de 10 años de experiencia para liderar iniciativas estratégicas Front-to-Back en Equities (Cash y Derivados Listados). Se requiere experiencia en Order Management, Back Office y regulatorio MiFID II/EMIR/MAR/DORA; manejo... 
    Cash
    Indefinido

    IRIUM - Spain

    Madrid
    22 horas atrás
  •  ...We are looking for a Client Portfolio Manager in our Madrid Office, with proven dealing...  ..., executing a range of different products, including FX hedging, lending, payments and cash management. You’ll upsell Ebury’s broad product capabilities, ensuring a best‑in‑class... 
    Cash
    Práctica
    Trabajar en la oficina

    Ebury Group

    Madrid
    2 días atrás
  •  ...Dormont Manufacturing Co is looking for a Cash Management & Lending Sales Associate in Madrid, Spain. The ideal candidate will have experience...  ..., and a proven background in cash management and lending products. The role involves managing corporate client relationships... 
    Cash
    Trabajo híbrido

    Dormont Manufacturing Co

    Madrid
    4 días atrás
  •  ...Flourish Ventures in Madrid is looking for a Treasury Associate to manage cash operations and provide analytical support to ensure effective financial management across Country Offices. The ideal candidate should have extensive experience in financial analytics, be... 
    Cash

    Flourish Ventures

    Madrid
    1 día atrás
  •  ...Monitoring and controlling project financials, overseeing project invoicing status, cost, expenses and cash flow Identifying, qualifying, quantifying and managing project risks, and ensuring that all opportunities are identified and pursued Driving the formal acceptance... 
    Cash
    Contrato

    Jobtailor

    Madrid
    22 horas atrás
  •  ...Investment Banking in Madrid seeks a GTB Financial Institutions Sales Associate to cover bank relationships and drive growth in Cash Management and Trade & Working Capital solutions. The role requires 3–6 years in corporate banking sales, English and Spanish fluency,... 
    Cash
    Remoto
    Trabajo híbrido

    Dormont Manufacturing Co

    Boadilla del Monte, Comunidad de Madrid
    22 horas atrás
  •  ...DataDirect Networks, Inc. is looking for a Treasury Analyst in Madrid to support global treasury operations. The role involves cash management, forecasting, and working with various...  .... Strong Excel skills and the ability to manage multiple priorities are essential. This... 
    Cash

    DataDirect Networks, Inc.

    Madrid
    1 día atrás
  •  ...HSBC in Spain is seeking a Senior Account Manager for Global Payments Solutions to evolve and grow our cash management business. You will manage liquidity needs for multinational and local corporate clients, while nurturing relationships with treasury and finance stakeholders... 
    Cash

    HSBC

    Madrid
    22 horas atrás
  •  ...del camino. Buscamos un/a IT Project Manager Lead con más de 10 años de experiencia...  ...estratégicas Front-to-Back en Equities (Cash y Derivados Listados). ¿Qué estamos buscando...  ...de Back Office: Confirmaciones, liquidación, clearing, colaterales. Conocimiento... 
    Cash
    Indefinido
    Trabajo híbrido

    IRIUM - Spain

    Madrid
    22 horas atrás
  •  ...MANAGING DIRECTOR – GLOBAL HEAD OF ORIGINATION...  ...WHOLESALE BANKING CASH MANAGEMENT...  ...value-added wholesale products to best meet their...  ...management, payments, and liquidity solutions. The...  ...coordination with product, coverage, risk,...  ...markets. Build and manage a high-quality... 
    Cash
    Práctica
    Remoto
    Trabajo híbrido
    Horario flexible

    Dormont Manufacturing Co

    Boadilla del Monte, Comunidad de Madrid
    22 horas atrás
  •  ...Swissport International AG in Madrid is seeking a Financial Intern to support cash management activities within a dynamic aviation environment. The role requires good communication, advanced Excel skills, and a background in finance. Key responsibilities include coordinating... 
    Cash
    Práctica

    Swissport International AG

    Madrid
    2 días atrás
  •  ...proactive and responsible approach toward risk management. THE DIFFERENCE YOU MAKE Santander...  ...financial, ESG, and legal reviews, and manage investments (including formulating and...  ...investment recommendations. Perform detailed cash flow modelling and cash extraction... 
    Cash
    Práctica
    Remoto
    Trabajo híbrido
    Horario flexible
    Trabajo por turnos

    Dormont Manufacturing Co

    Madrid
    22 horas atrás
  • Dormont Manufacturing Co busca un profesional experimentado para el área de Tesorería. El candidato ideal tendrá una licenciatura en Economía/ADE y al menos 5-7 años de experiencia en funciones similar. La posición incluye la elaboración de informes de posición, gestión...
    Cash
    Trabajar en la oficina

    Dormont Manufacturing Co

    Madrid
    22 horas atrás
  •  ...the CFO office. Think accounts payable, accounts receivable, cash management and treasury, run by agentic AI rather than spreadsheets and...  ...care about finance, AI, or both. We hire across engineering, product, design, operations, and go-to-market. If you're great at... 
    Cash
    Trabajar en la oficina

    Causa Prima

    Madrid
    1 día atrás
  • de 50000 a 53000 €/año

     ...Senior Account Manager - Global Payments Solutions Opportunity: As part of HSBC in...  ...Solutions. Responsibilities Manage the liquidity and cash management needs of a portfolio of...  ...needs through matching a broad range of products and services. Strong interpersonal... 
    Cash

    HSBC

    Madrid
    22 horas atrás
  •  ...We are looking for a highly accomplished SAP Order‑to‑Cash (OTC) expert to strengthen our SAP practice within the CNR – Chemical...  ...across end‑to‑end OTC processes—from pricing and billing to credit management and cross‑module integration. This role requires strong... 
    Cash

    Accenture

    Madrid
    4 días atrás
  •  ...International Accounting, Tax, and Payroll management powered by Technology and amazing...  ...including income statements, balance sheets, and cash flow statements, in compliance with...  ...regulations. Month-End and Year-End Closing: Manage closing processes, reconcile accounts,... 
    Cash
    Práctica

    Auxadi

    Madrid
    5 días atrás
  •  ...operate. Our AI-powered Treasury Management Platform gives companies real-time visibility over cash, liquidity, and debt, automating what CFOs have managed in spreadsheets for years. Founded...  ...Our mission is to create a SaaS product that uses advanced technology and... 
    Cash

    Embat

    Madrid
    1 día atrás
  •  ...approval process for the IM perimeter. Coordinating the capital management activities within International Markets perimeter which...  ...delivery of more than EUR 350m cumulated remittance over 2021-2023. Cash generation is one of the strategic priorities of AXA Group.... 
    Cash
    Práctica

    AXA Group

    Madrid
    2 días atrás
  •  ...Strategic Opportunities and CLO Management. Established in 2007, the...  ...advises investment funds and products which have provided approximately...  ...asset settlements and cash movements across European and...  ...and integrity ~ Ability to manage multiple tasks and work to tight... 
    Cash

    Permira

    Madrid
    1 día atrás
  •  ...Role Overview Project Manager to be based out of Nextpower’s Madrid, Spain office. Oversee...  ...‑class customer experience and providing product and systems expertise. Develop and...  ...including revenue forecasting, invoicing, cash flow, and cost management. Provide customer... 
    Cash
    Contratista
    Trabajar en la oficina

    Nextracker Spain, S.L.

    Madrid
    2 días atrás
  • 36000 €/año

     ...techniques Some account management experience preferred...  .... Recommends products, services, and insights...  ...conditions by reading product literature, contracts,...  ...Proactively seeks help from a manager when needed to address...  ...The total cash range (inclusive of base... 
    Cash
    Contrato

    11360 Expedia Spain S.L.

    Madrid
    2 días atrás
  •  ...Tech is looking for an Accounting & Finance Analyst based in our Madrid office. WHY YOU...  ...proactive and responsible approach toward risk management. Our mission is to contribute to help...  ...assets, CAPEX, reconciliations, and cash position monitoring. Control and follow... 
    Cash
    Contrato
    Trabajar en la oficina

    Lynx

    Madrid
    3 días atrás
  •  ...Project Manager Location: Madrid, MD, ES Company: Alstom Job Title: Project Manager...  ...external) Manage project performance (cash, margin, quality, delivery, customer...  ...Experience managing subcontractors and diverse product environments ~ Experience working in... 
    Cash
    Subcontratista
    Contrato

    ALSTOM Gruppe

    Madrid
    2 días atrás
  •  ...Strategic Opportunities and CLO Management. Established in 2007, the...  ...advises investment funds and products which have provided approximately...  ...distribution waterfall, cash flow, leverage and return (IRR...  ...including covenant compliance, liquidity, leverage, and refinancing... 
    Cash

    Permira

    Madrid
    22 horas atrás
  • de 36000 a 50500 €/año

     ...techniques Some account management experience preferred...  .... Recommend products, services, and insights...  ...conditions by reading product literature, contracts,...  ...Proactively seek help from a manager when needed to address...  ...In Madrid, total cash range is €36,000 to €50... 
    Cash
    Tiempo completo
    Contrato
    Horario flexible

    Traveltechessentialist

    Madrid
    1 día atrás

¿Quieres recibir más ofertas?

Suscríbete y recibe ofertas similares para Cash Management Liquidity Product Analyst. ¡Entérate antes que nadie!