[Oak-528] - Cib – Financial Institutions – Credit Risk Analyst

Detalles de la oferta

Excited to grow your career?
BBVA is a global company with more than 160 years of history that operates in more than 25 countries where we serve more than 80 million customers.
We are more than 121,000 professionals working in multidisciplinary teams with profiles as diverse as financiers, legal experts, data scientists, developers, engineers and designers.
Learn more about the area: Wholesale Credit Financial Institutions is the team responsible, within the area of Corporate and Investment Banking, for analyzing financial systems, the entities that compose them (banks, insurers, and funds), assigning a rating, and establishing risk appetite with them at a global level.
Te unirás a un equipo de 10 personas donde estar al día en mercados, regulación y productos que puedan afectar a los sectores es fundamental para gestionar el riesgo con este tipo de clientes/contrapartidas y comprender el impacto para BBVA, contribuyendo a que el negocio crezca de forma sana y rentable.
About the job: As a risk analyst for the financial segment, the main responsibilities of the position include: Analysis and preparation of risk proposals in terms of limits for presentation to the committee, summarized in the Financial Program.
For this, you will perform an analysis of the banking industry (by country), the individual credit profile of each entity, internal rating calculation, and definition of limits / maximum risk appetite by product.
Fluid communication with various business areas to meet risk needs prior to committee approval.
Additionally, there will be fluid communication with the other credit risk teams in the geographies, who are in turn interlocutors with the local business teams.
Additionally, you will participate in cross-disciplinary projects, such as the development and implementation of the New Internal Rating Model, which will be a priority topic in 2025.
Cualificaciones - Bachelor's degree in Business Administration / Finance, preferably studied in English.
- Positive consideration for having studied a semester at an international university, preferably in English.
- Previous experience of 1 year (including internship) in the Credit Risk Management department in a top-tier Financial Entity, focusing on financial analysis of financial entities (banks, insurance, and/or funds) is required.
- Regarding languages, advanced level of English (minimum C1) is required, and additional languages (B2) are valued.
- Additionally, proficiency in the following office software is required: PowerPoint (medium), Excel (advanced), Capital IQ Pro (Proficiency), and Python (Intermediate).
Skills: Banking, Banking business and banking products, Risk Management #J-18808-Ljbffr


Salario Nominal: A convenir

Fuente: Talent_Dynamic-Ppc

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