Accounting And Reporting Associate

Bbva

Madrid

Presencial

EUR 55.000 - 85.000

Jornada completa

14 días+
Generador de candidaturas

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Descripción de la vacante

BBVA is a global bank with over a century of history, operating in more than 25 countries. The Capital Measurement area manages regulatory capital, RWAs, and public disclosures, coordinating with geographies to ensure accuracy and compliance. The role focuses on solvency indicators and risk-weighted assets from a prudential perspective.

You will engage with holding units and local subsidiaries, developing governance and communication across stakeholders while upholding the Group's standards.

Formación

  • Experience working in financial and/or regulatory reporting.
  • Knowledge of prudential regulation (CRR, Basel Framework).
  • Ability to analyze quantitative information with accuracy.
  • Proactivity and autonomy in handling responsibilities.

Responsabilidades

  • Contributes to solvency indicators by measuring, consolidating and analyzing the Group's risks from a prudential point of view.
  • Coordinate the governance and measurement of risk-weighted assets with key stakeholders across holding and local units.
  • Interact with Global Risk Management, Global Market Risk Unit and subsidiaries to ensure accurate reporting and compliance.

Conocimientos

Regulatory reporting
Prudential regulation
Quantitative analysis
English fluency
Proactivity
Stakeholder communication

Herramientas

Excel
PowerPoint

Descripción del empleo

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.

Learn more about the area:

As part of Finance Holding, Capital Measurement is responsible for the preparation of the regulatory capital ratio, the capital base, as well as the analysis of RWAs and public and supervisory disclosures (Coreps), coordinating the preparation of this ratio with the geographies.

These metrics are part of the Group's main financial indicators, followed internally by the Group's management, subject to an in-depth breakdown of public information to the market and under continuous monitoring by banking supervisors and regulators.

About the job:

As part of Finance Holding, Capital Measurement is responsible for the preparation of the regulatory capital ratio, the capital base, as well as the analysis of RWAs and public and supervisory disclosures (Coreps), coordinating the preparation of this ratio with the geographies.

These metrics are part of the Group's main financial indicators, followed internally by the Group's management, subject to an in-depth breakdown of public information to the market and under continuous monitoring by banking supervisors and regulators.

Specifically, the function we seek to cover contributes to the solvency indicators by measuring, consolidating and analyzing the Group's risks from a prudential point of view, known as risk-weighted assets.

As a holding function the unit is in charge of the governance and coordination of the measurement of risk weighted assets with the main stakeholders of the process ranging from holding units such as Global Risk Management, Global Market Risk Unit to each of the Group's subsidiaries where we operate.

In this position you will acquire:
  • An in-depth knowledge of the Group's prudential risks, analyzing and understanding the main implications of the applicable rules and regulations in this area,
  • A global vision of the Group by developing and enhancing communication and governance skills with each of the relevant stakeholders and generating internal value for the Group in the understanding of its risks.
  • You will be part of a dynamic team committed to the Group's values.
We are looking for a highly motivated person with the following characteristics:
  • Experience working in financial and/or regulatory reporting.
  • Knowledge of prudential regulation, desirable in the field of solvency (CRR - Capital Requirements Regulation, Basel Framework, etc.).
  • Knowledge and sensitivity to quantitative analysis of information.
  • Spirit of continuous improvement, search for efficiency and excellence in deliverables.
  • Proactivity and autonomy in the development of the different responsibilities assigned.
  • Advanced level of English, with proven fluency and strong comprehension due to continuous interaction with diverse stakeholders in the language.
Candidates who have any of the following will be positively valued:
  • High analytical and information exploitation skills, managing large volumes of data,
  • Advanced level in the use of office tools for the elaboration of reports and presentations,
  • Experience working in collaborative teams in both Holding and Local units.
  • Knowledge of the Group's data analytics tools.
  • Experience in BCBS239, SOX controls, etc.
Skills:

Customer Targeting, Empathy, Ethics, Innovation, Proactive Thinking

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