Lbo Risk Manager

BBVA

London, United Kingdom
5 years lbo credit risk underwriting experience
Deep understanding of lbo structures and debt products
Advanced financial modeling with stress testing skills
You will lead the end-to-end risk analysis for complex Leveraged Buyout transactions within BBVA's Global Risk Management unit

Job Summary

  • You will lead the end-to-end risk analysis for complex Leveraged Buyout transactions within BBVA's Global Risk Management unit.
  • The role requires presenting and defending risk proposals in Credit Committees to influence high-impact deal approvals.
  • This position offers a strategic platform to partner with front-office teams while managing a growing portfolio in London.

Matching Summary

You will lead the end-to-end risk analysis for complex Leveraged Buyout transactions within BBVA's Global Risk Management unit.

Skills & Requirements

Must-have

  • 5 years LBO credit risk underwriting experience
  • Deep understanding of LBO structures and debt products
  • Advanced financial modeling with stress testing skills

Nice-to-have

  • Experience in UK/European leveraged finance market
  • Knowledge of ESG integration in credit risk
  • Strong growth mindset in fast-paced environment

Key Requirements

  • Minimum 5 years LBO related credit risk underwriting
  • Master's degree in Finance, Economics, or quantitative discipline
  • Eligibility to work in the UK

Work Rights

Must be eligible to work in the UK

Tailored Resume

Cover Letter