EMEA | London | Debt Capital Markets | Off-Cycle Analyst Programme

Please note the maximum number of applications that you can submit per recruitment season is 8.
You are only allowed to submit:
- 3 applications in total to U.S. and Canada programs
- 2 applications in total to APAC programs
- 2 applications in total to LATAM programs
- EMEA applicants are limited to 1 application per recruitment season
Once your application has been submitted, you will be unable to apply to any additional EMEA programs.

3653

Europe, Middle East & Africa
United Kingdom
London
Global Corporate and Investment Banking Off-cycle Analyst Program
Off-cycle internship
Analyst

Debt Capital Markets, Off Cycle Analyst

London, UK

 

Job Description & Program Overview

Corporate Derivatives in Debt Capital Markets

Debt Capital Markets is part of the Global Corporate and Investment Banking Division (GCIB) at Bank of America Merrill Lynch (BofAML). DCM professionals originate, structure, risk manage and execute debt products, including bonds (across public and private markets), loans and acquisition finance. Our clients include Corporates, Sovereigns, Supranationals, Agencies and Financial Institutions. Post-origination, we continue to assist our clients with their ongoing debt portfolio management through liability management and derivative transactions.

Debt Capital Markets (DCM) work closely with Corporate Banking and Investment Banking (client coverage) and Global Markets (trading and distribution). Therefore, candidates who have a natural interest in both markets and corporate finance will find it a particularly rewarding environment.

As an Off-cycle Analyst within Corporate Derivatives in DCM, your key tasks and responsibilities may include but are not limited to:

  • Assist Derivatives professionals with deal origination and execution across a diverse range of product areas
  • Work as a product specialist directly with our clients at top management level to create and deliver risk management solutions through DCM (bonds, loans, FX and rates) products
  • Develop a strong understanding of market fundamentals and be able to make market-informed contributions on a broad array of financing strategies that address clients’ specific needs
  • Design highly tailored presentations for clients to outline solutions to their financing needs (e.g. general corporate financing, acquisition financing)
  • Work on live transactions and interact with clients and professionals from across the bank as you build your network and experience
  • Work closely with Investment Banking teams on client coverage and origination
  • Work with sales teams and traders in Global Markets to coordinate and manage live deal executions, and liaise with Global Research to stay informed on the latest market developments

Qualifications

  • Candidates are required to be a recent graduate or in their final year of study pursuing a degree from an accredited college or university
  • Applications are accepted from a diverse range of degree disciplines such as the arts and humanities, as well as numerically focused subjects such as economics and mathematics
  • Strong A-level grades and on track for a minimum 2:1 degree (or equivalent)
  • Fluency in English is essential for all roles. For some roles fluency in Russian, Arabic or Mandarin is essential to support the Global Banking and Markets business area and the activities of the division and managing international client relationships
  • Strong technical background and basic knowledge in derivatives
  • Advanced skills in Excel and PowerPoint
  • You'll need to demonstrate drive, innovation and a genuine interest in the financial markets
  • Team-work, leadership and problem-solving skills, plus creativity are key qualities, as is the ability to work in a fast-paced environment, multi-task and interact with a variety of people
  • Displays analytical and problem-solving skills
  • Influences decisions and outcomes through effective communication and interpersonal skills
  • Demonstrates integrity and ethics by earning other’s trust and respect through consistent honesty and professionalism in all interactions

Internship Duration

  • Up to 6 months or longer

Our Commitment to Conduct and Environmental, social and governance (ESG)

Good conduct and sound judgment is crucial to our long term success. It’s important that all employees in the organisation understand the expected standards of conduct and how we manage conduct risk. Individual accountability and an ownership mindset are the cornerstones of our Code of Conduct and are at the heart of managing risk well.

Analyst Internship and Full time recruiting takes place on a rolling basis once applications open. Assessments often begin before the deadline, so it’s best to submit your application early.

We are an equal opportunities employer, and ensure that no applicant is subject to less favourable treatment on the grounds of gender, gender identity, marital status, race, colour, nationality, ethnic or national origins, age, sexual orientation, socio-economic background, responsibilities for dependants, physical or mental disability. The Bank selects candidates for interview based on their skills, qualifications and experience.

As part of our standard hiring process to manage risk, please note background screening checks will be conducted on all hires before commencing employment.

We offer a competitive Salary and Benefits package

March 31 2019

This Program is closed to applications.