Experteer Overview
In this role you will manage and monitor a portfolio of Real Estate Finance transactions, ensuring ongoing oversight from origination through post-closing stages. You will work with cross-border teams and lenders to maintain compliant structures and timely information flow, supporting risk management and profitability. The position offers growth into related lending areas and a chance to shape credit decisions in an international environment. You will collaborate closely with stakeholders to ensure smooth transaction life-cycles and proactive risk mitigation.
Compensaciones / Ventajas
• Support Origination and Structuring during pre-closing to ensure smooth handover to portfolio management
• Coordinate with internal stakeholders (Origination, Relationship Management, Risk, Legal, Operations) via regular transfer and follow-up meetings
• Independently manage lenders' requests and post-closing events (amendments, waivers, consents, restructurings) interfacing with clients and syndicates
• Monitor compliance with financial covenants, guarantees, security packages, and contractual obligations using internal systems
• Maintain relationships with Agent Banks, borrowers, sponsors and other stakeholders throughout the transaction lifecycle
• Manage transaction documentation, especially in syndicated facilities where BBVA acts as Agent Bank
• Oversee asset management perspective to identify opportunities and anticipate risks
• Contribute to risk-adjusted profitability metrics and capital usage optimization
• Support enhancements of the department's technological and reporting infrastructure
• Identify emerging risks and coordinate mitigation with business and risk teams
• Ensure accuracy and timeliness of portfolio information across internal systems
Responsabilidades
• University degree in Business Administration, Economics, Finance, Engineering, Law, or related discipline
• 5-7 years of relevant Real Estate Finance or Asset Finance experience (origination, execution, portfolio management or monitoring)
• Exposure to other structured lending products (Project Finance, Structured Trade Finance, Object Finance, Leveraged Finance, Corporate Lending) is advantageous
• Strong understanding of credit risk, loan documentation, and syndicated lending structures
• Ability to work in a dynamic, international environment and manage multiple stakeholders across jurisdictions
• Willingness to undertake geographical mobility
• Fluent Spanish (native or B2 level)
• English proficiency C1 or above; C2 valued; other languages advantageous
Requisitos principales
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📌 Portfolio Monitoring Specialist - Real Estate (Madrid)
🏢 Bbva
📍 Madrid