HR at Leading Investment Bank
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Senior Analyst - Credit Structuring - Global Markets - Investment Bank (2-5 yrs)
Do you like assessing value and risk? Do you enjoy presenting and defending your view? Do you enjoy a fast-moving work environment? This is a role where you can expect to be stretched professionally but will enjoy broad exposure and learn a great deal. We're looking for someone like that who can :
- Work in close tandem with global trading desks facing dynamic markets and aggressive deadlines.
- Understand and implement state-of-the-art pricing models in variable scenarios.
- Suggest and actualize innovative product designs.
- Perform trade modelling, strategy selection, and performance analysis.
- Build-up on existing infrastructure to implement new models, and optimal portfolio construction.
- Work closely with sales, traders and structurers to assist in execution of new trades, post trade analysis, position keeping.
- Convert financial market knowledge into understandable investment opinions and make relative value recommendations.
- Remain current on market and commercial developments to help frame investment strategies
- Strong analytical and problem solving skills
- Experienced at analysing economic and market data, industry trends, issuer credit quality and security characteristics to support investment decisions.
- A strong commercial mentality with an entrepreneurial bias, a willingness to learn and an obsession with detail.
- Inquisitive, independent thinking, an ability to constructively challenge others- viewpoints, and accept constructive challenge of their own.
- An ability to collaborate internally across teams within Global Markets and across divisions.
- The highest standards of professional ethics, leading by example to sustain Nomura's culture.
- Proactive, self-motivated and result-focused
- Excellent communication and presentation skills with an ability to assess information and make timely recommendations.
- Proficiency in MS Excel & MS PowerPoint
- Working knowledge of Bloomberg
- Previous experience/education in credit derivatives and financial analysis, preferably a professional industry qualification such as CFA or FRM
- Strong work ethics.
- Programming skills in VBA, Python