Risk Portfolios Manager (Madrid)

Risk Portfolios Manager (Madrid)

11 ago
|
Jobtailor
|
Madrid

11 ago

Jobtailor

Madrid

Responsibilities

Monitor the credit risk quality, pricing and profitability of the credit risk portfolios of Digital Banks
Contribute to define the new risk policies and changes in these
Drive the strategic management and profitability of retail portfolios
Architect and refine credit risk admission policies
Spearhead the development of pricing strategies
Oversee risk models and data quality
Prepare and refine data to ensure high quality and robustness for analysis

Qualifications

Degree in Economics, Mathematics, Physics, or Statistics
Master’s level knowledge of Data Science
At least 4 years of experience in Risk Management, with a focus on credit risk and retail portfolios
Knowledge of Credit risk management in terms of admission, recoveries, credit scoring, income estimators, and limit allocation
Deep understanding of credit risk models
Basic programming knowledge in at least one of the following: Python (PySpark, pandas, scikit-learn, Keras), R, SAS, or SQL
Strong analytical mindset, willingness to learn, and motivation to develop expertise in credit risk management and new markets for BBVA
English required

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📌 Risk Portfolios Manager (Madrid)
🏢 Jobtailor
📍 Madrid

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