BBVA
BBVA
BBVA ir globāla banku un finanšu pakalpojumu grupa, kas strādā pie tā, lai modernizētu veidu, kā cilvēki un uzņēmumi pārvalda savus finanšu līdzekļus. Tās darbība aptver korporatīvo un investīciju banku darbību, fintech un digitālo banku pakalpojumus, ar tehnoloģijām nodrošinātiem finanšu risinājumiem apkalpojot 71,5 miljonus klientu. BBVA ar vairāk nekā 121 000 darbinieku apvieno banku darbības, konsultāciju un mārketinga kompetenci sadarbīgā vidē, kas koncentrējas uz inovācijām, digitālo pārveidi un profesionālo izcilību.

Junior Cross-Asset Analyst at BBVA – Madrid Hybrid

Support BBVA’s global balance-sheet management with macroeconomic and financial-market research. Develop investment ideas, market scenarios, and risk assessments across portfolios and exposures.

Apraksts

  • Analyze global financial markets and the regions within BBVA’s footprint.
  • Support the development of investment ideas and decisions affecting the area’s managed portfolios and exposures.
  • Assess the macroeconomic environment and its potential effects on financial markets.
  • Monitor and interpret market developments.
  • Identify market catalysts and potential investment opportunities.
  • Analyze interest-rate curves and spreads.
  • Track equity-market performance and developments.
  • Build macro and cross-asset scenarios to assess opportunities, risks, and potential effects on the bank’s exposures.
  • Collaborate with ALM teams to develop and debate the area’s market outlook.
  • Maintain relationships with investment banks, external analysts, and other market-information sources.

Prasības

  • University degree in Economics, Business Administration, Engineering, Mathematics, Physics, Econometrics, Data Science, or a comparable field.
  • No prior experience is required, although up to two years in financial markets, macroeconomic analysis, research, quantitative analysis, investment banking, asset management, or a related function is accepted.
  • Demonstrated interest in financial markets.
  • Strong analytical ability and proficiency with Excel, PowerPoint, and collaborative Google Drive tools.
  • Advanced English proficiency at a minimum C1 level.
  • Motivation to learn, intellectual curiosity, and a strong analytical mindset.
  • Ability to work through complex problems, develop hypotheses, and test them against data.
  • Proactive, collaborative, detail-oriented, and results-focused approach.
  • Knowledge of macroeconomics and financial markets is a plus.
  • Knowledge of Python and data analysis, particularly for financial-market applications, is a plus.
  • Interest or experience in using artificial-intelligence tools for analysis is a plus.

Priekšrocības

  • Hybrid work arrangement.
  • Opportunities to collaborate with multidisciplinary teams.
  • Exposure to global financial markets and investment research.
  • Interaction with investment banks, external analysts, and other market-information sources.
  • Opportunity to use Python, data analysis, and artificial-intelligence tools to improve and systematize research and investment processes.

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