
at BBVA CIB
Investment BankingPosted 4 days ago
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**Global Markets Structuring | BBVA | London (Full-Time)** As a Global Markets Structuring expert, you'll generate cross-asset structured products and ideas for BBVA's institutional clients in Europe. This role demands strong analytical, communication, and teamwork skills, with a keen focus on detail and continuous learning. Key Responsibilities: - Develop structured product investment ideas - Price derivatives and support sales during client meetings - Expand into new markets and improve current business lines - Collaborate and lead internal projects across multiple teams - Ensure regulatory compliance and maintain structured products catalog Qualifications: - Bachelor's degree in Finance, Economics, Mathematics, or related fields - Master's degree in Quantitative Finance or Risk Management preferred - 3-5 years' experience in Structuring or related roles at a financial institution - Proficient in English, with additional languages a plus - Proven experience in equity, fixed income, and FX derivatives - Solid understanding of institutional client needs and market dynamics
- Compensation
- Not specified
- City
- London
- Country
- United Kingdom
Currency: Not specified
Full 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 Structuring team generates cross assets structured products and actionable ideas for BBVAs institutional clients, which include Private Banks and other distributors across Europe.
About the job:
Were looking for someone who:
Enjoys working in a team and fast-paced environment
Has strong analytical and communication skills
Pays close attention to detail
Can build strong relationships across teams and departments
Is eager to learn and adapt continuously
Key responsibilities:
Develop structured product investment ideas for private banks, asset managers, and distributors in Europe
Price derivatives, prepare marketing materials, and support Sales during client meetings and calls
Help expand into new markets, segments and improve current business lines
Collaborate with Sales, Trading, Risk, Legal, and Strategy teams on new product development
Coordinate with the rest of the Sales and other Structuring teams
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.)
Ensure regulatory and internal compliance in all activities
Maintain and update the structured products catalogue
Support pricing requests and final product valuation in coordination with Trading.
Qualifications:
Academic background in Finance, Economics, Mathematics, Engineering or similar.
A master's degree in Quantitative Finance, Risk Management, Financial Markets or related fields is a plus.
At least 3-5 years experience with a bank, private bank or other financial institution in Structuring or related roles.
Fluency in written and spoken English. Spanish is a plus and other languages could be valuable.
Experience in equity, fixed income credit and FX derivatives (valuation, risks & XVAs).
Strong understanding of institutional client needs and market dynamics across various asset classes and geographies.
Excellent analytical skills with the ability to assess complex financial structures and risks.
Effective communication and interpersonal skills, with the ability to build and maintain relationships with internal and external stakeholders.
Skills:
Client Orientation, Empathy, Ethics, Innovation, Proactive ThinkingLocation: LONDON
Time Type: Full time





