Analista de Análisis de Grandes Riesgos (Madrid)

Analista de Análisis de Grandes Riesgos (Madrid)

19 ago
|
Jobtailor
|
Madrid

19 ago

Jobtailor

Madrid

- Assigning monitoring ratings to borrowers/economic groups within the individual analysis scope, using specialized segment- and sector-based analysis.
- Accounting classification of contracts, provision calculation, and proactive management of triggers for individually significant borrowers.
- Aligning individualized analysis and accounting treatment with BPI.
- Preparing sector reports that provide a comprehensive view of the portfolio; identifying extraordinary events and analyzing their impact on portfolio credit quality.
- Periodic reporting to governing bodies and senior management.
- Preparing reports focused on areas of significant interest (top groups, top non-performing exposures, international branches, etc.).
- Forecasting NPL scenarios for the individual analysis scope.
- Participating in supervisory inspection processes.
- Managing external and internal audits related to individualized analysis.
- Evaluating and proactively managing regulatory changes; analyzing their impact on the credit portfolio and collaborating on the implementation of processes to ensure regulatory compliance.
- Preparation of Major Risk Monitoring Reports: Review of key risks associated with companies/groups subject to individualized monitoring.
- Analyzing the economic and financial position of borrowers and preparation of sensitivity analyses.
- Analyzing the economic and sectoral environment to assess risk positioning.
- Determination of risk profiles for major borrowers, accounting classification, and impairment calculation.




- Opportunity to participate in special projects based on professional qualifications and proven experience.

Requirements

- University degree in Economics or Business Administration; an MBA or similar qualification is a plus.
- Proficiency in spoken and written English.
- Professional experience in the field of Risk Management.
- Commitment to training and professional development.
- Analytical, rigorous, and synthesizing capabilities.
- Critical mindset; integral and strategic view of the client.
- Enthusiasm, commitment, and dedication to the work.
- Teamwork capabilities and strong interpersonal skills.

Core Competencies

Demonstrates expertise in Risk Management, including the analysis of borrowers and economic groups, regulatory compliance, and the preparation of comprehensive sector reports. Proficient in financial analysis, reporting, and managing audits while maintaining a strategic view of credit quality.

Highest-signal resume keywords

- Risk Management
- Financial Analysis
- Regulatory Compliance
- Sector Reporting
- Audit Management

ATS Optimization Keywords

Hard Skills

- Economic Analysis
- Provision Calculation
- Impairment Calculation
- Sensitivity Analysis
- NPL Forecasting

Soft Skills

- Analytical Capabilities
- Critical Mindset
- Teamwork
- Interpersonal Skills
- Commitment to Professional Development

Certifications & Qualifications

- University Degree in Economics
- University Degree in Business Administration
- MBA or Similar Qualification

Industry Keywords

- Credit Portfolio
- Monitoring Ratings
- Economic Groups
- Non-Performing Exposures
- Major Risk Monitoring

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📌 Analista de Análisis de Grandes Riesgos (Madrid)
🏢 Jobtailor
📍 Madrid

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