Financing & Risk Solutions Analyst

Royal Bank of Scotland

Join us as a Financing & Risk Solutions Analyst

  • We'll look to you to develop new discussion materials for clients on a key sustainable finance topic
  • Day-to-day, you'll support our ongoing origination efforts across products, such as bonds, CP, private placements and liability management
  • This is a fantastic opportunity to hone your skills since you'll be developing your domain expertise about our businesses through training, self-development and internal rotation
  • We're offering this role at senior analyst level

What you'll do

As a Financing & Risk Solutions Analyst for our bank, you'll support the effective management of transactions to make sure that all of our activities are in line with the bank’s policies covering conduct, operational, credit and regulatory risks.

Alongside this, you’ll prepare analysis, pitching materials, term sheets, post-transaction reviews and other documentation to support origination activities. You’ll also assist with client deep dives, navigate the sales coverage teams and gather feedback from internal client touchpoints.

Your top priorities will include:

  • Providing thought leadership on climate and environmental, social and governance (ESG) topics through content
  • Conducting market research on ESG investors and ESG funds to update and improve the ESG investor database and ESG investor profiles
  • Tracking US and European markets and preparing market updates on green, social and sustainability (GSS) markets
  • Writing weekly market commentary for circulation to clients and updating and maintaining internal databases, such as transaction issuance, investor order books, pricing analysis, and deal reviews
  • Analysing key financials, preparing peer comparison tables, including spreads and yield analysis, generating trade ideas and identifying arbitrage opportunities

The skills you'll need

To succeed in this role, you’ll need to hold an MBA in Finance or a CA, CFA or FRM qualification. As well as this, you’ll have knowledge of financial databases, like Bloomberg, Reuters, Factset and Dealogic, and an excellent understanding of financial statements, including profit and loss, balance sheets and cash flow statements.

It'll be advantageous if you've already worked in EMEA markets, hold corporate finance or equity research experience and have knowledge of various debt products and markets.

In addition, you’ll demonstrate:

  • A background of working in a fixed income, investment banking or credit research analytics function that supports the debt business
  • Excellent analytical, numerical, problem-solving and logical thinking skills
  • Great qualitative and industry research and analytical skills, including an advanced understanding of Excel and PowerPoint
  • Knowledge of fixed income instruments, including bonds, specifically GSS bonds
  • Good communication and interpersonal skills and the ability to build relationships with key stakeholders

Hours

45

Job Posting Closing Date:

21/11/2023

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Confirmed 11 hours ago. Posted 30+ days ago.

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