Risk Portfolios Manager (Madrid)

Risk Portfolios Manager (Madrid)

04 ago
|
Jobtailor
|
Madrid

04 ago

Jobtailor

Madrid

ph3Responsibilities /h3 ul liMonitor the credit risk quality, pricing and profitability of the credit risk portfolios of Digital Banks /li liContribute to define the new risk policies and changes in these /li liDrive the strategic management and profitability of retail portfolios /li liArchitect and refine credit risk admission policies /li liSpearhead the development of pricing strategies /li liOversee risk models and data quality /li liPrepare and refine data to ensure high quality and robustness for analysis /li /ul h3Qualifications /h3 ul liDegree in Economics, Mathematics, Physics, or Statistics /li liMaster’s level knowledge of Data Science /li liAt least 4 years of experience in Risk Management,



with a focus on credit risk and retail portfolios /li liKnowledge of Credit risk management in terms of admission, recoveries, credit scoring, income estimators, and limit allocation /li liDeep understanding of credit risk models /li liBasic programming knowledge in at least one of the following: Python (PySpark, pandas, scikit-learn, Keras), R, SAS, or SQL /li liStrong analytical mindset, willingness to learn, and motivation to develop expertise in credit risk management and new markets for BBVA /li liEnglish required /li /ul /p #J-18808-Ljbffr

📌 Risk Portfolios Manager (Madrid)
🏢 Jobtailor
📍 Madrid

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