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BBVA

Vice President – Structured Trade Portfolio Monitoring

BBVA

BBVA Vice President leading structured trade finance portfolio monitoring. Establishing governance, overseeing collateral and covenant risk, and managing cross-functional teams.

Posted 8/19/2026full-timeNew York City • New York • 🇺🇸 United StatesLead💰 $200,000 - $225,000 per yearWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates extensive knowledge of Structured Trade & Commodity Finance, Asset-Based Lending, and structured lending principles, with strong financial analysis skills and the ability to manage and mentor high-performing teams. Proficient in risk assessment, portfolio management, and effective collaboration across cross-functional teams.

Highest-signal resume keywords
Structured Trade & Commodity FinanceFinancial AnalysisPortfolio ManagementLeadership & People ManagementAdvanced Microsoft Excel

ATS Keywords

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Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills
Borrowing Base MethodologiesCollateral MonitoringCovenant MonitoringLiquidity AnalysisCredit Agreement Interpretation
Soft Skills
Analytical ThinkingStrategic Problem-SolvingEffective CommunicationTeam DevelopmentCollaboration
Tools & Technologies
Power BISQLPython
Industry Keywords
Asset-Based LendingStructured Receivables FinanceCommodity CollateralInventory ControlsWarehouse Receipts

Tech Stack

Tools & technologies
PythonSQL

About the role

Key responsibilities & impact
  • Lead the Portfolio Monitoring & Solutions function supporting BBVA's Structured Trade & Commodity Finance portfolio
  • Establish and continuously enhance monitoring policies, governance standards, operating procedures and portfolio oversight frameworks
  • Oversee monitoring of Commodity Borrowing Base Facilities, Inventory Finance, Warehouse Finance, Prepayments, Pre-Export Finance, Receivables Purchase Programs, Receivables Finance, Credit Insurance-backed transactions and other structured working capital facilities
  • Review borrowing base calculations, collateral eligibility, inventory reports, warehouse reports, advance rates, reserve calculations, concentration limits and financial covenant compliance
  • Identify, assess, escalate and resolve portfolio risks, collateral deficiencies and covenant breaches
  • Monitor transaction performance throughout each facility lifecycle and recommend risk mitigation strategies
  • Partner with Front Office during transaction onboarding, amendments, renewals, refinancings and restructurings
  • Collaborate with Credit Risk, Legal, Operations, Engineering, external collateral managers, inspection companies and clients
  • Provide strategic direction, recruit, develop, coach and manage team performance
  • Establish team objectives, allocate resources and ensure effective execution of monitoring activities
  • Implement best practices, standardized procedures and governance frameworks
  • Coordinate cross-functional initiatives to enhance portfolio oversight, strengthen risk controls and support business growth

Requirements

What you’ll need
  • Extensive knowledge of Structured Trade & Commodity Finance, Asset-Based Lending, Structured Receivables Finance and related financing products
  • Advanced understanding of borrowing base methodologies, collateral monitoring, portfolio management and structured lending principles
  • Strong knowledge of commodity collateral, inventory controls, warehouse receipts, receivables finance structures and security packages
  • Ability to interpret complex credit agreements, legal documentation, collateral structures and financing arrangements
  • Strong financial analysis skills, including covenant monitoring, liquidity analysis and borrower performance assessment
  • Advanced Microsoft Excel skills
  • Experience with Power BI, SQL, Python or other business intelligence, reporting and automation tools
  • Strong analytical, strategic thinking and problem-solving capabilities
  • Excellent leadership and people management skills
  • Proven ability to build, develop and mentor high-performing teams
  • Exceptional written and verbal communication and presentation skills
  • Ability to influence and collaborate effectively with Front Office, Credit Risk, Legal, Operations, Engineering and senior management
  • Ability to operate effectively within a fast-paced, international and cross-functional environment
  • Fluency in English is required; proficiency in Spanish is highly valued
  • Employment eligibility to work with BBVA in the U.S. is required; the company will not pursue visa sponsorship

Benefits

Comp & perks
  • Generous employee benefits package
  • Discretionary bonus
  • Equal employment opportunity and affirmative action employer