Empleo
Mis anuncios
Mis alertas
Conectarse
Encontrar un trabajo Consejos empleo Fichas empresas
Buscar

Institutions / public sector - principal manager

Madrid (28001)
BBVA Group
De 30 € a 50 € por hora
Publicada el 10 junio
Descripción

## Institutions / Public Sector

Obtenga más información sobre las tareas generales relacionadas con esta oportunidad a continuación, así como sobre las habilidades requeridas.
- Principal ManagerSolicitarremote type: Hybridlocations: 28050, MADRID, Madridtime type: Full timeposted on: Publicado hoytime left to apply: Fecha final: 15 de junio de 2026 (Quedan 9 días para realizar la solicitud)job requisition id: JR00105567
**¿Te entusiasma hacer crecer tu carrera?
**BBVA es una compañía global con más de 160 años de historia que opera en más de 25 países donde damos servicio a más de 80 millones de clientes.

Somos más de 121.000 profesionales trabajando en equipos multidisciplinares con perfiles tan diversos como financieros, expertos legales, científicos de datos, desarrolladores, ingenieros y diseñadores.
**Conoce más sobre el área:
**We are looking for a senior risk professional to join the
**Institutions / Public Sector CIB Risk Team
**.

Duties include, coordination and/or lead risk proposals of global institutional Public Sector clients, and ongoing monitoring and management of the portfolio.
**Sobre el puesto
**The successful candidate will join a team of 20 people where she/he will be working with a growing and diverse portfolio, both in terms of geographical scope (Europe, Asia, MENA...) and type entities within the Public Sector ecosystem (sovereign, local and regional, GREs, etc.) using a variety of products, including complex financing facilities and GM products.She / He should proactively monitor and update credit research on existing clients portfolio as well as analyze and rate new clients, using a wide variety of sources, including internal/external research, industry trends, macroeconomic indicators and geopolitical trends.The candidate is expected to have proven past experience as an analyst covering the sector in the area of credit risk (buy-side, sell side, as a consultant, an auditor or any other relevant role).
**Key Responsibilities include but are not limited to
*** Lead and/or coordinate complex transactions of Public Sector clients, cross-product and cross-geography, and provide an independent risk evaluation based on fundamental credit analysis.
* Recommend new clients as well as renewals and modifications of existing clients, performing a full due diligence, assigning internal ratings, and ensuring credit quality and soundness of lending and counterparty limits.
* Provide guidance and opinions to other Risks teams on Public Sector related issues.
* Build up a proper monitoring system for the sector, identifying business and industry trends.

Make ad-hoc reviews of the sector for the CRO office, regulatory requests, etc and recommend risk mitigation strategies.
* Develop relationships with senior Business Partners to achieve business objectives, including evaluation of prospective borrowers and facilitating relationships with key internal clients in CIB and Risks.
* Pro-active in operational optimization, identifying areas for improvement and implementing efficiencies in Public Sector ́s risk processes.
* Conduct research and analysis on a wide range of topics to develop views on global/ regional macro conditions and sovereign credit assessments.
**Required knowledge, skills and experience required
*** Experience in a senior financial risk role within a relevant financial services firm or consultancy with a global footprint and a good knowledge of EM.
* Broad and holistic understanding of Public Sector operations of global clients, including GREs and other assimilated entities.

Strong rating skills beyond traditional public sector entities.
* Excellent credit risk analytical skills, deep understanding of macro fundamentals and geopolitical risks; and ability to understand capital markets products and complex financings from a risk perspective and risk management techniques and practices.
* Strong execution experience on live transactions and ability to make decisions under pressure and short timelines.
* Ability to coordinate with different teams (Risk and Business) and interact with different audiences (internal and external) at a range of levels.

Capacity to engage.
* Ability of data gathering and analytics capabilities.

AI capabilities are a plus.
* Dynamic and flexible, and excellent verbal and written communication skills as well as active listening skills.
* Critical thinking and capacity to challenge, and leadership skills.
* Demonstrate highest ethics and integrity standards, and excellence driven.
**Qualifications
*** 10+ years of experience in Credit Risk Management.

Experience in MENA markets is a plus.
* Bachelor's degree/University degree or equivalent experience.
* Master's degree preferred. xpzdshu
* English and Spanish proficiency; working knowledge of French is a plus.
#J-18808-Ljbffr

Enviar
Crear una alerta
Alerta activada
Guardada
Guardar
Ofertas cercanas
Empleo Madrid (28001)
Empleo Madrid (28001)
Empleo Provincia de Madrid
Empleo Comunidad de Madrid
Inicio > Empleo > Institutions / Public Sector - Principal Manager

Jobijoba

  • Dosieres empleo
  • Opiniones Empresas

Encuentra empleo

  • Ofertas de empleo por profesiones
  • Búsqueda de empleo por sector
  • Empleos por empresas
  • Empleos para localidad

Contacto/ Colaboraciones

  • Contacto
  • Publiquen sus ofertas en Jobijoba

Menciones legales - Condiciones legales y términos de Uso - Política de Privacidad - Gestionar mis cookies - Accesibilidad: No conforme

© 2026 Jobijoba - Todos los Derechos Reservados

Enviar
Crear una alerta
Alerta activada
Guardada
Guardar