Core Responsibilities

The role involves analyzing counterparties and emissions, evaluating market risk using methodologies like VaR, and assessing credit risk through scoring models. Daily tasks also include monitoring regulatory compliance, preparing reports for regulators, and designing/maintaining control dashboards.

Requirements

Candidates must have a university degree in Economics, Finance, Economic Engineering, or a related field, along with a minimum of 5 years of relevant experience. Required knowledge includes financial analysis, risk management, credit risk analysis, financial statement analysis, and financial instrument valuation, with at least an intermediate level of English.

Additional Information

Experience Level

5-10

Job Language

Spanish

Work Mode

On-site