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A prominent banking institution is seeking a GM Structuring Corporates Analyst to join their dynamic team. This role focuses on developing structured financial solutions for corporate clients, requiring strong analytical skills and collaboration across departments. Candidates with significant finance-related experience will be favored, with a comprehensive understanding of structured products being a distinct advantage.
GM Structuring Corporates Analyst page is loaded
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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:
The Structuring team generates cross assets structured products and actionable ideas for BBVA’s Institutional & Corporate clients.
About the job:
Key responsibilities:
Develop structured Solutions for Corporates (ie investment, balance sheet and event hedging). The role includes being part of the Hedge Coordination operations and Deal Contingent Hedges.
Price solutions, prepare marketing materials, and support Sales during client meetings and calls.
Collaborate with Sales, Trading, Risk, Legal, and Strategy teams on new product development.
Act as a link between Sales and Trading to align strategy and respond to client needs.
Lead and support internal projects involving multiple teams (Ops, Legal, Risk, etc.).
Support pricing requests and final product valuation in coordination with Trading and XVA teams.
We’re looking for someone who:
Enjoys working in a team and fast-paced environment.
Has strong analytical mindset, attention to detail and communication skills.
Can build strong relationships across teams and departments.
Is eager to learn and adapt continuously.
Education and experience:
Degree in STEM degree (Science, Technology, Engineering or Maths) and/or degree in Finance.
Master degree in Quantitative Finance, Risk Management, Financial Markets or related fields is a plus.
2+ years’ experience with a bank or other financial institution in Structuring or related roles (appreciated but not mandatory).
Experience with Structured Products for IR, credit, equities, FX and Hedge Accounting (appreciated but not mandatory).
Excellent marketing and communication skills.
Good background in derivatives valuation theory and risk management.
Advanced user of Excel and financial tools.
Languages:
English (minimum C1).
Spanish and other European languages (appreciated but not mandatory).
Soft skills:
Team player.
Good marketing and communication skills.
Analytical thinking and detail oriented.
This position will require the candidate to have a valid Mifid certification. In case the candidate is not certified, they will have to obtain the pertaining certification upon the incorporation to the role.
Skills:
Customer Targeting, Empathy, Ethics, Innovation, Proactive ThinkingDon’t miss any opportunity and... upload your CV! You will join our Talent Community so that we can send you future opportunities that match your profile.
We are more than 121,000 colleagues across 25 countries, working in multidisciplinary teams where we understand the importance of work-life balance. We support our clients in the energy transition and are committed to inclusive growth. We are pioneers in adopting disruptive technologies that will shape the financial industry. Dare to define the future of banking!