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Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in managing and monitoring loan portfolios, with a strong focus on credit risk assessment, loan documentation, and stakeholder management. Proficient in financial analysis and regulatory compliance, with the ability to identify and mitigate emerging risks.
Highest-signal resume keywords
Portfolio ManagementCredit Risk AssessmentLoan DocumentationStakeholder ManagementFluent Spanish
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Corporate LendingFunds FinancingProject FinanceStructured Trade FinanceLeveraged FinanceFinancial AnalysisRegulatory ComplianceRisk MitigationTransaction ManagementPortfolio Monitoring
Soft Skills
CommunicationStakeholder CoordinationFlexibilityGeographical Mobility
Tools & Technologies
Communication PlatformsReporting Infrastructure
Industry Keywords
Syndicated LendingAsset ManagementFinancial CovenantsContractual ObligationsBusiness Opportunities
Tech Stack
Tools & technologiesSpark
About the role
Key responsibilities & impact- Manage, monitor, and administer a portfolio of Spark unit loans
- Support Origination and Structuring teams during pre-closing and ensure smooth handover to portfolio management
- Coordinate with Origination, Relationship Management, Risk, Legal, Operations, and other internal stakeholders
- Manage lenders’ requests and post-closing events, including amendments, waivers, consents, and restructurings
- Liaise with clients, lending syndicates, legal counsel, and other BBVA units
- Monitor financial covenants, guarantees, security packages, and contractual obligations
- Maintain relationships with Agent Banks, borrowers, sponsors, and other stakeholders
- Manage transaction documentation and communication platforms, particularly for syndicated facilities where BBVA acts as Agent Bank
- Oversee the portfolio from an asset management perspective and identify business opportunities and credit, performance, or insolvency risks
- Contribute to risk-adjusted profitability optimization and efficient regulatory capital use
- Support improvements to technological and reporting infrastructure
- Identify emerging risks and propose mitigation measures or action plans
- Ensure accurate and timely portfolio information across internal systems
Requirements
What you’ll need- University degree in Business Administration, Economics, Finance, Engineering, Law, or a related discipline
- 1–2 years of relevant professional experience in Corporate Lending and/or Funds Financing transactions
- Experience in origination, execution, portfolio management, or portfolio monitoring roles
- Exposure to Project Finance, Structured Trade Finance, Object Finance, Leveraged Finance, and Corporate Lending is advantageous
- Strong understanding of credit risk, loan documentation, syndicated lending structures, and post-closing transaction management
- Ability to manage multiple stakeholders across business areas and jurisdictions
- Willingness and flexibility to undertake geographical mobility
- Fluent Spanish (native speaker or minimum B2 level)
- English proficiency at C1 level or above required
- Additional Italian, German, French, or Asian languages advantageous
Benefits
Comp & perks- Hybrid work arrangement
- Geographical mobility opportunities as required by the role
