BBVA is seeking a candidate for the Issuer & Underwriting Risk unit within Corporate and Investment Banking Global Risk Management. The role involves managing end-to-end credit operations, participating in risk committees, and monitoring portfolios with data-driven insights.
The ideal candidate has up to 2 years in CIB/Risk, English fluency, and a degree in economics/finance/administration. Proficiency in Microsoft Office and programming skills are valued.
#J-18808-LjbffrWholesale Risk Analyst: Global Credit & Portfolio Insights employer: BBVA
BBVA is an exceptional employer that fosters a dynamic and inclusive work culture, offering its employees the opportunity to thrive in a leading European bank. With a strong emphasis on professional development, employees can expect robust growth opportunities while working alongside experienced professionals in a collaborative environment. Located in a vibrant financial hub, BBVA provides unique advantages such as access to cutting-edge resources and a commitment to innovation in the banking sector.