I am a Financial Stability Expert with a PhD in Macroeconomics and over four years of experience in central banking. As an Economist in the Macroprudential Policy and Financial Stability Division at the Banco de España, I provide evidence-based insights and recommendations to support the decision-making of the Board and the Governor, and to enhance the financial stability of the euro area. My core competencies include economic analysis, data analysis, forecasting, fiscal stance monitoring, and policy evaluation. I have developed and applied analytical tools to assess the capital buffer requirements for systemically important institutions, the equilibrium indebtedness of the private sector, and the credit market exposure to climate change. I have also contributed to internal notes, research papers, and working groups for the Banque de France, the European Central Bank, and the Eurosystem. My mission is to use my skills and knowledge to advance the understanding of the macro-financial linkages and the implications of the current economic challenges for the banking sector and the monetary policy.
Listed skills include Stata, Gams, Omp, Matlab, and 11 others.