CIB CREDIT RISK BELGIUM
BBVA
Posted: March 11, 2026
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Quick Summary
This role involves managing credit risk for CIB Credit Continental Europe & Middle East, with a focus on financial analysis and reporting.
Required Skills
Job Description
¿Te entusiasma hacer crecer tu carrera?
BBVA es una compañía global con más de 160 años de historia que opera en más de 25 países donde damos servicio a más de 80 millones de clientes. Somos más de 121.000 profesionales trabajando en equipos multidisciplinares con perfiles tan diversos como financieros, expertos legales, científicos de datos, desarrolladores, ingenieros y diseñadores.
Conoce más sobre el área:
Risk CIB Credit Continental Europe & Middle East manages the credit risk for Germany, France, Brussels and Italy Branches, as well as the Middle East. The team is organized by geography with an industrial view of the portfolio. The Area is responsible for the wholesale credit admission, having as main task to preserve the redit quality of the proposals integrating ESG factors to ensure profitable growth.
As part of CIB the area interacts with global markets, global lending, advisory and transactional businesses for global corporate clients and institutional investors’ requests. In addition, the area has a close contact with corporate credit areas of all the geographies the Group works with.
The area also includes interaction and management with other risks areas (FI, arkets, counterparty, structural, operational, reputational…) as well as Compliance, Finance, Legal, etc.
Sobre el puesto
Credit management of a portfolio of CIB Belgium Corporates, assessment of total limit risk appetite within those groups, and new transaction proposals incorporating the analysis of the specific structure of a transaction, credit and financial risk
profiles of the borrower.
Comprehension and analysis of financial statements, ratings, profitability, sector guidelines, projections and ESG related aspects.
Participation in credit and business committees. Interaction with both internal/external audits, Internal Control and all different units linked to the admission and monitoring process.
What are we looking for?
• For Analyst level: 1–3 years of relevant experience in corporate credit risk.
• For Associate level: 3+ years of experience in corporate credit risk.
• Rating tools knowledge. Knowledge of the Belgium market is a plus.
• Bachelor’s degree in finance or a related field.
• Data Analysis and Data Driven management.
• ESG certification.
• Fluent in English.
• Other languages (desirable): French, Spanish, Dutch.
• Excellent communication and presentation skills.
• Team building skills.
• Ability to work under tight deadlines.
Habilidades:
Empatía, Ética, Innovación, Orientación al cliente, Pensamiento proactivo