Investment Grade Finance [Multiple Positions Available]
DESCRIPTION:
Duties: Provide market analysis and client advisory across multiple regions and currencies. Monitor global rate and credit market dynamics and how they affect international clients' debt portfolios and funding decisions. Conduct client coverage of investment grade, non-US banks accessing the US capital markets. Write pricing reports for non-US banks. Review transaction documentation for cross-currency bond issuances. Conduct client coverage for US corporations accessing non-US capital markets. Monitor and communicate market trends in Europe, Asia, and the United States to clients. Engage with clients from sectors including technology, telecom, healthcare, industrials, utilities, and financials. Present market updates and pitch debt issuance opportunities in EUR, Yen, AUD, GBP, and other currencies. Prepare macroeconomic reports including emails and presentations on key indicators such as inflation, GDP, and central bank policy.
QUALIFICATIONS:
Minimum education and experience required: Bachelor's degree in Economics, Finance, International Business or related field of study plus 3 years of experience in the job offered or as Investment Grade Finance, Investment Banking, Debt Capital Markets, Investment Analyst, or related occupation.
Skills Required: This position requires three (3) years of experience with the following: Analyzing balance sheets and financial statements within 10Q and 10K filings to conduct leverage and debt capacity analyses in corporate accounting; Developing tailored issuance recommendations for clients, factoring in existing debt portfolios; Monitoring and analyzing macroeconomic indicators and microeconomic factors that affect international markets and preparing reports on economic data and its impact on debt markets for issuers; Calculating and analyzing bond price, yield, spreads and relative values to produce pricing levels across various capital structures, tenors, and callable structures; Developing pricing calculators, reviewing trader runs, and utilizing Bloomberg functions including DES, YAS, YASQ, SWPM, PX1; Reviewing documents such as Purchase Agreements, Preliminary Prospectus Supplements, and Term Sheets for Investment Grade bond markets and execution, across the full bond execution process; Building relationships and dialoguing with external senior client stakeholders and legal advisors and preparing market and marketing materials, including pitch decks, market update slides, and organizational materials; Synthesizing and communicating the investment implication and trade opportunities to internal and external senior stakeholders.
Job Location: 270 Park Avenue, New York, NY 10017.
Full-Time. Salary: $200,000 - $200,000 per year.
We offer a competitive total rewards package including base salary determined based on the role, experience, skill set, and location. For those in eligible roles, discretionary incentive compensation which may be awarded in recognition of individual achievements and contributions. We also offer a range of benefits and programs to meet employee needs, based on eligibility. These benefits include comprehensive health care coverage, on-site health and wellness centers, a retirement savings plan, backup childcare, tuition reimbursement, mental health support, financial coaching and more. Additional details about total compensation and benefits will be provided during the hiring process. In addition, please visit: https://careers.jpmorgan.com/us/en/about-us.