LM

Lucía González M.

Global Financial Risk - Credit, Counterparty & Liquidity Risk at BBVA Asset Management en España

Lucía González M. has extensive experience in financial risk management, currently serving in roles focused on credit, counterparty, and liquidity risk at BBVA Asset Management since June 2015. Prior to this, Lucía worked at FUNED providing support in distance education for university courses and participated in competitive examinations for the Spanish public administration at INAP Instituto Nacional de Administración Pública. Educational qualifications include a Master's in Quantitative Finance from AFI Escuela de Finanzas Aplicadas, a degree in Mathematics, and a degree in Computer Engineering from Universidad Autónoma de Madrid, alongside several specialized courses related to financial markets and technology.

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