Andreu Henales

Structural Risk Associate - Liquidity Risk

Andreu Henales, FRM, has a diverse background in finance and education with experience as a private teacher and in various roles within risk management. From 2015 to 2021, Andreu served as a private teacher in mathematics, physics, and English for students aged 14 to 18. In the finance sector, Andreu has held key positions at BBVA, focusing on liquidity risk analysis, understanding cash flow dynamics, and assessing regulatory and macroeconomic impacts on bank solvency. Previous roles also include positions at Cecabank as an IRRBB and liquidity risk analyst, a marketing intern at Intalentia Innovación, and a resource coordinator at Fundación Cerro Verde. Educational qualifications include a Bachelor's degree in Economics from Universidad Rey Juan Carlos, a Master's degree in Financial Risk Management from Universidad Pontificia Comillas, and certifications in eCommerce and digital marketing from Google, along with a Certificate in Advanced English from the University of Cambridge.

Location

Madrid, Spain

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