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Analyst, Fund Solutions Group, Structured… at Santander · Madison…
Entry LevelOn-siteFull-timeMadison Ave Corp$68k–$110k/yr
Skills
fund financestructured financecredit analysisfinancial modelingportfolio managementtransaction executionlegal documentation reviewmicrosoft excelmicrosoft powerpoint
Job Description
Summary: Santander is a global leader and innovator in the financial services industry, evolving into a technology-driven organization. The Analyst role supports the Fund Solutions platform, incorporating responsibilities across the lifecycle of transactions including origination support, credit analysis, execution, and ongoing portfolio management.
Responsibilities:
- Support the origination, underwriting, and structuring of Subscription lines, Equity and Credit NAVs, Hybrid, Asset Backed Loans (ABL), GP facilities and other fund financing transactions, including new deals, refinancings, amendments and upsizes
- Prepare credit materials including financial models, borrowing base analysis, risk ratings, and due diligence assessments
- Analyze fund structures, LP bases, and collateral to inform credit sizing and assess sponsor quality, portfolio performance, and investor composition
- Contribute to transaction execution, including documentation review, negotiation support and deal closing
- Develop clear and concise credit analysis and recommendations, identifying key risks, mitigants, and structural considerations in line with Santander standards
- Partner with senior team members to present and defend credit recommendations to internal stakeholders
- Support the active management of a portfolio of fund finance transactions, including monitoring performance, collateral, and covenant compliance
- Assist with ongoing portfolio activities such as amendments, waivers, refinancings, extensions, and annual reviews
- Maintain internal systems and support portfolio reporting, analytics, and presentations
- Review legal documentation for amendments and renewals, ensuring alignment with approved credit terms
- Engage with clients as appropriate, developing an understanding of financing structures, fund performance, and evolving client needs
- Support interactions with internal control functions, including risk, audit, and regulatory stakeholders
Required Qualifications:
- Bachelor's degree in Finance, Accounting, Economics, Engineering, or a related analytical discipline
- Relevant coursework or interest in structured finance, real assets, or private markets
- 0–3 years of experience in fund finance, structured, infrastructure, leveraged finance, investment banking or related fields
- Candidates with technical or quantitative backgrounds and an interest in private capital and credit are encouraged to apply
- Strong financial modeling and analytical skills (Excel and PowerPoint proficiency required)
- Clear written and verbal communication skills with the ability to engage with internal and external stakeholders
- High attention to detail, strong work ethic, and ability to manage multiple priorities in a fast-paced environment
- Demonstrated interest in credit, investing, and private capital markets
Preferred Qualifications:
- Established work history or equivalent demonstrated through a combination of work experience, training, military service, or education
- Experience in Microsoft Office products
Required Skills: Fund finance, Structured finance, Credit analysis, Financial modeling, Portfolio management, Transaction execution, Legal documentation review, Microsoft Excel, Microsoft PowerPoint