Summary
Top investment manager seeking a highly motivated candidate to join the FIG team in an organization that is a proven leader in the growing private capital universe.
Company Information:
An industry-leading investment management firm based in New York with over $20+ billion in AUM.
Job Description:
- Responsible for financial modeling and analysis, including understanding and assessing capital structures, financial projections, and impacts of balance sheet actions
- Participate in all stages of a transaction process, including deal sourcing, structuring, pricing and valuation
- Collaborate with cross-functional teams to deliver high-quality deliverables within tight deadlines, include partnering with third party advisors, such as lawyers, accountants, and other consultants
- Develop and prepare client presentations
- Analyze market, regulatory, and demand trends • Aid in client targeting and product development, including thinking creatively around deal structures and evolving client needs
- Ability to review and understand bank regulatory and accounting frameworks, and application to transaction-related opportunities
- Interact and form partnerships with banks and financial institution clients through consistent engagement and coverage
Requirements / Qualifications:
- Bachelor’s degree and at least 2 years of work experience or MBA degree with relevant experience
- Investment banking or equivalent experience, with preferred background covering banks and financial institutions
- Preferred product experience and/or knowledge of significant risk transfer (SRT) / credit risk transfer (CRT)
- Strong technical skills, with experience in financial modeling and ability to interpret and analyze financial statements
- Strong written and verbal communication skills
- High level of focus on work quality and attention to detail
- Commercial instinct and ability to perform under pressure and tight deadlines
- Strong culture carrier and a demonstrated ability to work effectively with team members