BBVA

Manager de Riesgos de Mercados y Derivados (Miguel Hidalgo, Ciudad de México)

BBVA

What You'll Do

Understand the project scope and identify impacts on various risk responsibilities. Coordinate with risk teams to execute requirements. Maintain the project plan and manage unforeseen issues and dependencies. Participate in project committees and communicate relevant topics to discipline representatives.

What We're Looking For

Bachelor's degree in Actuarial Science, Mathematics, Physics, or related field. Master's in Statistics, Mathematics, or FRM certification. Minimum 4 years of experience in financial markets and products, with knowledge of market risk, derivatives, and project management. Proficiency in English (C1 level) and programming skills in Python.

Additional Information

Experience Level

Mid-Level

Job Language

Spanish

Employment Type

Full-time

Work Mode

On-site