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Portfolio Monitoring Vice President

BBVA

LONDON Hybrid permanent

Posted: April 1, 2026

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Quick Summary

The Portfolio Monitoring Vice President is responsible for monitoring the performance of portfolio investments and developing strategies to improve investment performance. The role requires a deep understanding of investment products and a strong analytical mindset, as well as excellent communication and project management skills. The ideal candidate will have a strong track record of delivering results in a fast-paced environment.

Job Description

Excited to grow your career?

BBVA is a global company with more than 160 years of history that operates in more than 25 countries where we serve more than 80 million customers. We are more than 121,000 professionals working in multidisciplinary teams with profiles as diverse as financiers, legal experts, data scientists, developers, engineers and designers.

The BBVA Group is a customer-centric global financial services group with over EUR800 billion in total assets and more than 125,000 employees. BBVA Group has a leading position in the Spanish market, is the largest financial institution in Mexico, and boasts leading franchises in South America and Turkey. It also has an important investment, transactional and capital markets banking business in US, EMEA & Asia. The institution rests on solid values: customer comes first, think big

and one team.

BBVA Corporate & Investment Banking (“BBVA CIB”) encompasses investment banking, market activities, loans and transactional services for international corporate clients and institutional investors. BBVA CIB clients can choose from a wide range of value-added products and financial solutions and access expert advisory services to achieve their business, transformation and sustainability objectives in line with their strategic plans. This robust global franchise services clients worldwide, with an extensive network of financial experts, investment-banking specialists and advisers in specific industries and sectors.

This is an opportunity for a qualified candidate to join a growing team.

About the job:

The Portfolio Monitoring (“PM”) team is an integral part of Investment Banking & Finance within BBVA CIB. PM is responsible for working with front office teams to execute loan documentation and monitor the performance of the loan portfolio. Also, PM may provide agency services when BBVA acts as agent on syndicated deals.

PM is involved from the early stages of loan execution but once a loan transaction is booked, PM manages any event relative to the transaction, including among others covenant monitoring, amendments or waivers. The PM team also monitors the loan book for information on a borrower in order to anticipate potential risks and keeps a fluid communication with both front office and risk teams. As a first line of defense for credit quality, PM is also responsible for recommending involvement of the restructuring teams, if the case may be.

For loans where BBVA acts as Agent, PM is integral in working with the borrower to distribute required covenant compliance documents and communicate with the club or banking syndicate. As a participant bank, PM acts as the key contact point with the administrative agent and manages the loan activity post-closing.

General responsibilities for the role include, but are not limited to, the following:

• Work closely with risk and front office teams to successfully structure and close loan transactions.

• Proactively manage the loan portfolio, including covenant compliance reporting, amendments and waivers.

• Monitor borrowers for key events that could impact the credit quality of the portfolio.

• Engage with restructuring teams as needed for loans at risk of default.

• Interact with Collateral Agents, Account Agents, Internal / External Legal Counsel, Trustee, Advisors.

• Interface with internal loan operations and funding desks in the closing and management of the loan book.

• Work with Loan Syndicate & Sales teams in the purchase and sale of assets as needed.

• Regularly report loan metrics and performance indicators.

List Major/Essential Job Duties: 

• Interact with internal and external parties to ensure successful maintenance of the EMEA & Asia loan book.

• Perform first line of defense on credit quality of the loan portfolio including covenant monitoring and early warning indicators.

• Monitor progress of key projects in construction and operation.

• Analyse complex qualitative and quantitative information, e.g. financial models, technical and legal due diligence/reporting and facility documentation.

• Prepare periodic project reviews and present them to the monthly risk committee.

Level of Complexity and Risk Involved:

• Moderate level of complexity.

• First line of defense.

Skills, knowledge, and abilities/competencies:

• Degree in Economics, Accounting, Finance or related field.

• 7+ years of experience including roles in origination, structuring, loan monitoring, and/or agency services.

• Establish portfolio management/monitoring and credit analysis skills tested in project finance, leverage finance or fund finance context.

• Experience in Structured & Specialized Finance.

• Demonstrated experience and proficiency in loan documentation, loan structures, models and management of covenants.

• Excellent English written and verbal communication skills.

• Ability to work in a team environment and under tight deadlines.

• Strong analytical skills.

• Demonstrable commercial expertise and perspective combined with a high degree of accountability for high value and sensitive projects/clients.

Skills:

Análisis Crediticio Project Finance, Análisis financiero, Contratos Financieros, Financiación de proyectos, Financiación empresarial, Financiación estructurada, Financiación sindicada, Finanzas sostenibles, Idioma español, Idioma inglés, Mercados financieros, Sistemas Rating Wholesale, Valoraciones de empresas

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