BBVA

RISK REPORTING ASSOCIATE II - GLOBAL & REGULATORY Y REPORTING - RIESGOS

BBVA

What You'll Do

Manage and analyze regulatory capital and bank risk by monitoring indicators, analyzing figures, and generating reliable information for decision-making. Participate in the preparation, validation, and reporting of regulatory information under international standards such as Basel, COREP, and Pillar III. Drive automation and optimization of processes by integrating, cleansing, and analyzing data from multiple sources to enhance the calculation of prudential metrics.

What We're Looking For

Bachelor's degree in Economics, Mathematics, Engineering, or related fields. Minimum 2 years of experience in risk areas or the financial sector, with experience handling large databases and capital. Proficiency in Python and SQL, and familiarity with data visualization tools like Quick Site.

Additional Information

Experience Level

Mid-Level

Job Language

Spanish

Employment Type

Full-time

Work Mode

Remote