Rafael Salinas
  • BBVA professional career
    • 2015 Head of Global Risk Management.
    • 2006-2015 Director of Risk & Portfolio Management.
    • 2003-2005 CFO, Banco de Crédito Local de España (BCL).
    • 2000-2003 Head of Capital Base Management.
    • 1998-2000 Deputy Director of Assets and Liabilities.
    • 1991-1997 Director of Derivative Products. BBV Interactivos, S.V.B..
      .
  • Education and qualifications
    • MBA, Graduate School of Business Chicago.
    • MSc in Econometrics and Mathematical Economics, London School of Economics.
    • Graduated Centro de Estudios Monetarios y Financieros del Banco de España (CEMFI).
    • B.S. degree in Economics and Business Management, Universidad de Alicante.

We use third-party and own cookies for improve our services and showing the users advertising related to your preferences through the analysis of your navigational habits. If you continue browsing, we assume that you accept its use. More info

The cookie settings on this website are set to "allow cookies" to give you the best browsing experience possible. If you continue to use this website without changing your cookie settings or you click "Accept" below then you are consenting to this.

Close