
Global Structuring - Interest Rates and FX Structuring - Analyst or Associate
- London
- Permanent
- Full-time
- Support Senior Structurers in the origination, ongoing coverage, and execution of interest rate, foreign exchange, and other hedging transactions.
- Prepare customized pitch-books and various market analyses for client meetings.
- Assist with client updates, internal and external calls related to both new and existing hedging transactions.
- Run complex models to assist with pricing metrics and quantifying market and credit risks.
- Identify, present, and execute interest rate and FX hedging solutions for the firm's corporate clients.
- Partner with banking, trading, credit, structuring, and other internal partners in executing hedging strategies.
- A strong interest in global financial markets is essential, as are analytical and quantitative skills, flexibility, teamwork, excellent attention to detail, and the ability to handle pressure and enjoy a collaborative environment.
- Excellent analytical, quantitative, and interpretative skills.
- Ability to thrive in a dynamic, collaborative work environment.
- Being adaptable, flexible, and resilient.
- Skilled at managing multiple tasks concurrently and highly organized.
- Proficiency with Microsoft Excel, PowerPoint, and Word applications.
- Knowledge of Python and VBA is strongly preferred.
- Firm understanding and experience in basic finance and/or economics.
- A high degree of ethics and integrity.