Structured Finance Risk
Madrid Area, Spain
Banco Santander
Structured Finance Risk Portfolio Manager. Subdirector
January 2015 to Present
Madrid Area, Spain
Banco Santander
Debt Restructuring
March 2009 to January 2015
Axpe Consulting
Controller
March 1996 to August 1998
Madrid Area, Spain
- Management and monitoring of a global client portfolio of approximately 330 companies, including Project Finance, Asset&Capital Structuring, LBO´s, Commercial Real Estate, Securitizations, Working Capital Solutions and Commodity Finance. - Supervision of local teams credit approval, risk ratings, provisions policies, and judgment of portfolio performance and trends. Also responsible for all aspects of credit quality including compliance... - Management and monitoring of a global client portfolio of approximately 330 companies, including Project Finance, Asset&Capital Structuring, LBO´s, Commercial Real Estate, Securitizations, Working Capital Solutions and Commodity Finance. - Supervision of local teams credit approval, risk ratings, provisions policies, and judgment of portfolio performance and trends. Also responsible for all aspects of credit quality including compliance with requirements of regulators and internal control. - Prepare high-quality credit submissions for presentation to relevant Risk Committees with appropriate risk recommendations. Participation in decision-making and support to the Manager. - Participation in Watchlist Committees - Refinancing and Restructurings. - Internal reporting to ECB and Bank of Spain
What company does Javier Redondo work for?
Javier Redondo works for Banco Santander
What is Javier Redondo's role at Banco Santander?
Javier Redondo is Structured Finance Risk Portfolio Manager. Subdirector
What industry does Javier Redondo work in?
Javier Redondo works in the Banking industry.
Who are Javier Redondo's colleagues?
Javier Redondo's colleagues are Jonas Dodd-Pacitti Dip CII %28Ins%29, Jon Heydon, Dan Simpson, Foteini Skaltsa, Lu-Chien Lin, Mark Promislow, Ruben Espinola, Patricio Orosco, SONIA DIAZ-SANCHEZ, and William ITIL
📖 Summary
Structured Finance Risk Portfolio Manager. Subdirector @ - Management and monitoring of a global client portfolio of approximately 330 companies, including Project Finance, Asset&Capital Structuring, LBO´s, Commercial Real Estate, Securitizations, Working Capital Solutions and Commodity Finance. - Supervision of local teams credit approval, risk ratings, provisions policies, and judgment of portfolio performance and trends. Also responsible for all aspects of credit quality including compliance with requirements of regulators and internal control. - Prepare high-quality credit submissions for presentation to relevant Risk Committees with appropriate risk recommendations. Participation in decision-making and support to the Manager. - Participation in Watchlist Committees - Refinancing and Restructurings. - Internal reporting to ECB and Bank of Spain From January 2015 to Present (1 year) Madrid Area, SpainDebt Restructuring @ • Guidance of Commercial Banking major accounts with serious rating: prevention and corrections actions for Distressed and NPL • Restructuring / Refinancing and workout: (i) risk, technical and financial feasibility analysis (ii) debt / guarantees structuring (iii) interfacing and negotiation with stakeholders: clients, other creditors, advisors… (iv) internal coordination of the departments involved (Risks, Legal, Branch, Back Office, Treasury etc.) (v) documentation process: Term Sheets, Stand Stills, IBR, DD, NDA, LOI, SPA, closing contracts… (vi) follow-up post-closing performance.. • Collaboration in the implementation of the Portfolio Sales Unit. From March 2009 to January 2015 (5 years 11 months) Controller @ Reporting to the CEO, Controller at the mid-sized national capital company AXPE Consulting which is specialized in software engineering projects, Technical Systems and Network Engineering in the global outsourcing of Information Technology I worked as an Operational and Financial Controller. From March 1996 to August 1998 (2 years 6 months) Madrid Area, SpainMaster in Finance & Banking (Master program in English) @ CIFF-Universidad de Alcalá From 2008 to 2009 Degree in Business Administration and Management @ Universidad Carlos III de Madrid From 2001 to 2006 Javier Redondo is skilled in: Corporate Finance, Investment Banking, Banking, Capital Markets, Credit Risk, Valuation, Structured Finance, Financial Modeling, Financial Analysis, Debt Restructuring, Project Finance, Distressed Debt, Finanzas estructuradas, Mercado de capitales, Reestructuración
Extraversion (E), Sensing (S), Thinking (T), Perceiving (P)
3 year(s), 1 month(s)
Unlikely
Likely
There's 89% chance that Javier Redondo is seeking for new opportunities
Issued by Banco Santander · September 2008
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