
Investment & Corporate Banking - Latin America Finance - Portfolio Management, Analyst
- New York City, NY
- $80,000-95,000 per year
- Permanent
- Full-time
- Conduct extensive quantitative economic, industry and company research and analysis
- Conduct and model a broad range of corporate finance alternatives and due diligence for client transactions including M&A, strategic alternatives, capital structure development, acquisition finance and syndicated loan and capital market financing
- Evaluate risk/return parameters of financing transactions
- Financial modeling, valuation, comparable & relative value analyses and market-specific analysis
- Facilitate and coordinate product group idea generation and solutions development across a broad platform of global capabilities
- Draft client pitches and marketing materials including M&A, syndicated bank financing, public/private debt & equity capital markets, and other internal documentation by coordinating internal and external resources
- Assist in financing structuring, underwriting transaction evaluation, preparation, due diligence and execution
- Assist in the development and continued cultivation of client relationships.
- Knowledge of corporate finance, securities, financial markets and risk & pricing analysis
- Aptitude to synthesize large amounts of information and develop innovative ideas and/or product solutions
- Ability to manage multiple projects simultaneously
- Ability to work under pressure and adhere to tight deadlines
- Strong written and oral communication skills and ability to convey ideas
- Creativity and intellectual curiosity
- Ability to work independently and must be able to work effectively in a team environment