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WHOLESALE RISK SENIOR MANAGER II

ExperiencedNo visa sponsorship
BBVA CIB logo

at BBVA CIB

Investment Banking

Posted 4 days ago

No clicks

**Wholesale Risk Senior Manager II** at BBVA: Oversee counterparty risk for financial institutions. Lead credit analysis, proposals, and monitoring. Manage risk across portfolios, including derivatives. Ensure compliance with policies and regulations. Mentor junior analysts. Requires 8+ years in credit/counterparty risk. Strong analytical skills, market knowledge, and proficiency in relevant tools (Bloomberg, Capital IQ). Bilingual (English and additional Asian language preferred) a plus. Based in Hong Kong. Full-time role.

Compensation
Not specified

Currency: Not specified

City
Hong Kong
Country
Hong Kong

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.

About the job:

Key Responsibilities

  • Analyze the creditworthiness of financial institution counterparties to determine risk appetite, limits, and exposure structures

  • Prepare, present, and defend credit proposals, supporting transaction approvals and ongoing client assessment

  • Monitor counterparty risk across portfolios (incl. derivatives and securities financing), identifying emerging risks and ensuring exposures remain within limits

  • Assess risks on complex financial products and transactions, including derivatives and structured financing

  • Conduct due diligence on clients, incorporating market developments, regulatory changes, and rating actions

  • Ensure compliance with internal policies and regulatory frameworks; maintain accurate ratings, limits, and systems data

  • Review and contribute to trading documentation (ISDA/CSA/GMRA/GMSLA), including collateral and margining terms

  • Partner with Front Office and support functions to enable efficient execution while ensuring robust risk mitigation

  • Perform stress testing and portfolio analysis, including concentration and wrong-way risk

  • Support regulatory requests, audits, and internal reporting requirements

  • Produce regular portfolio risk reports and respond to ad hoc analyses

  • Provide guidance and oversight to junior analysts, including reviewing credit work, supporting their technical development, and promoting strong risk discipline

Qualifications & Experience

  • Bachelors degree in Finance, Economics, Business, or related field

  • Minimum 8 years of experience in credit risk / counterparty risk, with financial institutions coverage

  • Strong analytical skills with solid understanding of FI financials and risk metrics

  • Knowledge of financial markets and products, including derivatives and trading documentation (ISDA/CSA/GMRA/GMSLA)

  • Excellent communication and organizational skills

Language & Other Skills

  • Fluency in English; additional Asian language (Chinese/Korean/Japanese) preferred; Spanish is a plus

  • Experience with Bloomberg, Capital IQ or similar platforms

  • Programming skills (e.g., Python, VBA) are an advantage

Job Posting

BBVA Hong Kong will conduct a background check on you in accordance with the Mandatory Reference Checking (MRC) Scheme regulated by the Hong Kong Monetary Authority (HKMA). Should any discrepancy identified or deemed unsatisfactory to us, we reserve the rights to terminate your employment in such case. (FAQs for In-Scope Individual: https://www.hkab.org.hk/files/page/page-content/79/FAQs_for_In-Scope_Individuals_(24_July_2025)-1753348029.pdf)

Skills:

Analytical Thinking

Location: Hong Kong

Time Type: Full time

WHOLESALE RISK SENIOR MANAGER II

Compensation

Not specified

City: Hong Kong

Country: Hong Kong

BBVA CIB logo
Investment Banking

4 days ago

No clicks

at BBVA CIB

ExperiencedNo visa sponsorship

**Wholesale Risk Senior Manager II** at BBVA: Oversee counterparty risk for financial institutions. Lead credit analysis, proposals, and monitoring. Manage risk across portfolios, including derivatives. Ensure compliance with policies and regulations. Mentor junior analysts. Requires 8+ years in credit/counterparty risk. Strong analytical skills, market knowledge, and proficiency in relevant tools (Bloomberg, Capital IQ). Bilingual (English and additional Asian language preferred) a plus. Based in Hong Kong. Full-time role.

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.

About the job:

Key Responsibilities

  • Analyze the creditworthiness of financial institution counterparties to determine risk appetite, limits, and exposure structures

  • Prepare, present, and defend credit proposals, supporting transaction approvals and ongoing client assessment

  • Monitor counterparty risk across portfolios (incl. derivatives and securities financing), identifying emerging risks and ensuring exposures remain within limits

  • Assess risks on complex financial products and transactions, including derivatives and structured financing

  • Conduct due diligence on clients, incorporating market developments, regulatory changes, and rating actions

  • Ensure compliance with internal policies and regulatory frameworks; maintain accurate ratings, limits, and systems data

  • Review and contribute to trading documentation (ISDA/CSA/GMRA/GMSLA), including collateral and margining terms

  • Partner with Front Office and support functions to enable efficient execution while ensuring robust risk mitigation

  • Perform stress testing and portfolio analysis, including concentration and wrong-way risk

  • Support regulatory requests, audits, and internal reporting requirements

  • Produce regular portfolio risk reports and respond to ad hoc analyses

  • Provide guidance and oversight to junior analysts, including reviewing credit work, supporting their technical development, and promoting strong risk discipline

Qualifications & Experience

  • Bachelors degree in Finance, Economics, Business, or related field

  • Minimum 8 years of experience in credit risk / counterparty risk, with financial institutions coverage

  • Strong analytical skills with solid understanding of FI financials and risk metrics

  • Knowledge of financial markets and products, including derivatives and trading documentation (ISDA/CSA/GMRA/GMSLA)

  • Excellent communication and organizational skills

Language & Other Skills

  • Fluency in English; additional Asian language (Chinese/Korean/Japanese) preferred; Spanish is a plus

  • Experience with Bloomberg, Capital IQ or similar platforms

  • Programming skills (e.g., Python, VBA) are an advantage

Job Posting

BBVA Hong Kong will conduct a background check on you in accordance with the Mandatory Reference Checking (MRC) Scheme regulated by the Hong Kong Monetary Authority (HKMA). Should any discrepancy identified or deemed unsatisfactory to us, we reserve the rights to terminate your employment in such case. (FAQs for In-Scope Individual: https://www.hkab.org.hk/files/page/page-content/79/FAQs_for_In-Scope_Individuals_(24_July_2025)-1753348029.pdf)

Skills:

Analytical Thinking

Location: Hong Kong

Time Type: Full time