Non Financial Risk Manager

BBVA

London, United Kingdom
Internal control model knowledge
Non-financial risk management standards
Corporate & investment banking experience
The role supports the 'Banking for Growth' department by managing non-financial risks for BBVA's C&IB division with a global scope

Job Summary

  • The role supports the 'Banking for Growth' department by managing non-financial risks for BBVA's C&IB division with a global scope.
  • Candidates will lead risk assessments, coordinate control agendas, and define key metrics to align business growth with regulatory frameworks.
  • This position requires extensive experience in internal control or audit within capital markets environments to navigate complex risk agendas.

Matching Summary

The role supports the 'Banking for Growth' department by managing non-financial risks for BBVA's C&IB division with a global scope.

Skills & Requirements

Must-have

  • Internal Control Model knowledge
  • Non-Financial Risk management standards
  • Corporate & Investment Banking experience
  • RCSA risk assessment methodologies
  • Senior stakeholder management skills

Nice-to-have

  • Fintech or growth-stage tech experience
  • International branch operations experience
  • Multicultural team collaboration
  • Adaptive mindset for innovative culture
  • Proactive thinking and empathy

Key Requirements

  • 10-12 years of relevant experience
  • Bachelor's degree required
  • English proficiency C1 minimum
  • Spanish proficiency C1 preferred
  • FRM or Masters in Risk Management valued

Work Rights

Not specified

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