BBVA Compass

  • DCM Sr. Analyst

    Job ID
    2018-114832
    Site Name
    NY-NEW YORK CITY-BBVA NY
    Category
    CORPORATE & INVESTMENT BANKING
    Work Location
    US-NY-New York
    FLSA Status
    EXEMPT
    Type
    FULL TIME
    EOE Statement
    Equal Opportunity Employer - Minority/Female/Disability/Veterans.
  • Overview

    At BBVA, we are working to make banking better for everyone. That is where you come in. We are looking for smart, team oriented people who want to be part of a first-class workforce that gives people the tools they need to meet their financial goals, all while delivering an outstanding client experience. Learn more below.

    Responsibilities

    Summary of Responsibilities:

    The Senior Analyst will be part of the team responsible
    for the origination and structuring of debt capital market transactions for BBVA’s U.S. client base, with a focus on our High Yield portfolio.  Analysis of trends and market conditions in the bond markets and preparation of internal and
    external market updates. Assist in the preparation of marketing material and proposals for existing and prospective U.S. clients.


    List Major/Essential Job Duties:

    • Assist in the preparation of weekly market updates for internal and external clients, discussing loan and bond market conditions and trends across the U.S., Latin America and Europe.
    • Identify appropriate pricing parameters for issuers in context of relevant market and peer groups. Prepare and maintain the debt capital markets pricing analysis database.
    • Contribute to the preparation of debt capital markets proposals and marketing materials, including internal memos.
    • Provide support in the preparation of internal credit proposals, involving detailed credit and market analysis.
    • Manage internal deal process through closing and manage deal files. Facilitate reporting of debt capital market transactions to the major external financial information providers.
    • Coordinate and work in conjunction with different departments within BBVA in the U.S., Latin America and Europe to successfully meet job responsibilities and duties.

    Level of Complexity and Risk Involved: 

    Minimal risk responsibilities. Credit and pricing
    analysis requires basic understanding of financial statement analysis, financial
    modeling/bond math and investment banking quantitative skills.

     

    Scope of Duties:

    • Interaction within the BBVA Group
    • Maintenance of internal reports and their distribution to the appropriate areas.
    • Understanding and development of financial modeling, financial statement analysis, derivative instruments.
    • Oral and written presentations.
    • Preparation and monitoring of the bond closing process
    • Identification and use of research and tools.
    • Participation in due diligence meetings.

    Qualifications

    Skills, knowledge, and abilities/Competencies:

    • Degree in Economics, Finance or related field
    • Internship experience in investment banking/capital markets is a plus
    • Fluent in English. Working Knowledge of Spanish is a plus
    • Prior DCM experience a plus
    • Excellent communication and presentation skills
    • Ability to work in a team environment and under tight deadlines
    • Understanding of the basic principles of the bank and bond market
    • Basic understanding of financial statement analysis, financial modeling and DCF analysis
    • Proficient in ALL Microsoft Office Tools and Bloomberg

     

    Must meet credit history and criminal background requirements associated with Financial Industry Regulatory Authority registration process, to include FBI fingerprint criminal history, review of credit report, civil litigation, liens, and other public records.

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