Senior Portfolio Leader, Lending (TMT)

ING Hubs Romania

Madrid

Presencial

EUR 120.000 - 190.000

Jornada completa

14 días+
Generador de candidaturas

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Ventajas ofrecidas por este puesto de trabajo

Health insurance
Restaurant card
Flexible remuneration
Free company shuttle
Pension plan
Life insurance
Gympass service

Descripción de la vacante

ING Madrid is seeking a VP of Portfolio Management to oversee the in‑life management of the WB lending exposure for Spain & Portugal. You will drive analytics, optimize capital velocity, and coordinate with Origination, Risk, Legal and Support teams.

The role requires 7+ years in credit analysis within banking, strong financial modelling, and fluency in Spanish and English. A flexible, cross‑functional mindset is essential to deliver regulatory readiness and portfolio optimization.

Formación

  • University degree major in business/economics or relevant discipline; CFA and/or MBA is a plus.
  • 7+ years of credit analysis experience in banking and international environment, preferably with TMT clients.
  • Fluent in Spanish and English; strong communication and collaboration skills.

Responsabilidades

  • Actively manage all facets of the portfolio files, including quarterly and annual credit reviews.
  • Coordinate credit modifications, analysis, and documentation through the risk approval process.
  • Monitor risk, covenants and regulatory reporting; ensure data quality and timely reporting.
  • Support market developments and cross-border collaboration with offshore teams.

Conocimientos

Credit analysis
Financial modelling
Regulatory reporting
Stakeholder communication
Risk assessment
Bilingual Spanish/English

Educación

University degree in business/economics
CFA/MBA desirable

Descripción del empleo

ING Madrid is seeking a VP of Portfolio Management to oversee the in‑life management of the WB lending exposure for Spain & Portugal. You will drive analytics, optimize capital velocity, and coordinate with Origination, Risk, Legal and Support teams.

The role requires 7+ years in credit analysis within banking, strong financial modelling, and fluency in Spanish and English. A flexible, cross‑functional mindset is essential to deliver regulatory readiness and portfolio optimization.

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