BBVA is seeking a senior risk professional to lead the CIB Risk Strategy & Portfolio Management team in Madrid. You will monitor deteriorated portfolios, oversee provisioning, and present insights to senior management.
Strong leadership and advanced analytics are essential for driving automation and AI-enabled risk monitoring. Adecuado candidates hold a Master's degree in a quantitative field with 8–9 years in credit risk, IFRS9/ Basel knowledge, and fluency in English.
📌 Credit Risk Special Monitoring (Madrid)
🏢 Bbva
📍 Madrid