Buenos Aires, Argentina
33 days ago
Debt Capital Markets - CRG Analyst

JPMorgan Chase & Co. is a leading global financial services firm with assets of $2 trillion and operations in more than 60 countries. The firm is a leader in investment banking, financial services for consumers, small business and commercial banking, financial transaction processing, asset management and private equity.

 

Across Latin America, J.P. Morgan is a leading financial provider and among the top global banks in all product areas. As a result of our long-standing regional presence, we have built long-term and trusted relationships with Latin American industry leaders, financial institutions, governments, family-owned businesses and private clients.

 

J.P. Morgan's commitment to the region enables us to deliver a broad range of capabilities to meet our clients' financial needs in the local and global markets in the areas of investment banking, asset management, treasury services, wealth management and corporate banking.

 

The Analyst's main responsibilities will include:

 

Pitching material preparation: Work with associates and analysts in NY to prepare marketing materials for clients including components like market and industry landscapes, financial analysis & valuations, target companies profiles & benchmarking etc.

 

Financial analysis: Analysis and interpretation of financial statements including preparing trading and transaction comparables, modeling & valuations, financial and operating benchmarking analyses for companies. Extract information from company accounts, databases and other sources, using accounting knowledge & judgment

 

 Research: Source and interpret company & industry information from a variety of data sources (company reports, Internet, online databases, JPMorgan proprietary content) with an aim to forming views on the industry, key trends and individual companies. Summarize and synthesize news updates/research reports on priority clients, weekly industry reports; updates for ongoing Equity mandates, for internal and external use

 

Management Reporting: Provide weekly updates to senior management on deals announced/closed/priced, new mandates, client calling efforts by bankers, sector update news, and other relevant management metrics.

 

Qualifications

Role oriented to Economics/Business Administration/Accountant/Finance students Strong Microsoft Office knowledge, including Word, PowerPoint and Excel required Analytical background to perform analysis of new issue fixed income instruments, loans and liability management. Thorough knowledge of macroeconomic principles Understanding of bond structures and derivatives Team player and positive attitude

 

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