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Corporate Treasury - Long Term Funding - Senior Analyst/Associate - New York, NY

Job Description

Corporate Treasury – Long Term Funding – Senior Analyst/Associate – New York, NY

 

Treasury/Chief Investment Office (T/CIO) is responsible for firm-wide asset and liability management.  Because it sits at the very center of the firm, T/CIO directly influences the composition of the firm’s balance sheet as well the activities of its four main LOBs

 

The Long Term Funding Associate will be part of the Long-term Funding team which is responsible for executing unsecured debt and capital transactions, repurchasing stock, and managing credit rating agency relationships on behalf of the Firms. An associate on the team will assist with all aspects of deal execution, with identifying competitive sources of long-term funding/capital and share repurchases, as well as monitoring peer activity and liaising with Debt Capital Markets, Finance, Legal and Investor Relations teams. The candidate should preferably have experience and/or strong interest in capital markets.  The selected candidate must be detailed-oriented, possess the ability to think critically and apply quantitative skills to solve problems.

 
Responsibilities include:
  • Develop the Firm’s annual funding plan and present for approval to senior management
  • Execute the global funding strategy to optimize the timing and structure of the Firm’s long-term debt issuance
  • Monitor and report internally on credit spread performance and overall market conditions and developments
  • Create presentations related to funding, liquidity and capital for discussion with senior management, regulators, investors and ratings agencies
  • Interpret and respond to new regulations that have an impact on liquidity, funding and/or capital
  • Work with Investor relations to implement the fixed income investor strategy and respond to investor inquiries
  • Assist with managing and executing of the Firm’s share repurchase program
  • Manage the credit rating agency relationships, including regular reporting, ratings strategy and preparation of materials for the annual update
  • Interact with Investment Bank on execution of structured notes to determine qualification for long-term debt issuance
  • Assist with managing and tracking of the Firm’s share repurchase program

  • Bachelor’s degree in either Finance, Economics, Accounting, Business Administration or other disciplines relevant to the position
  • Ability to prioritize multiple tasks and to work under pressure while maintaining a high attention to detail
  • Strong analytical and  quantitative skills; knowledge of standard financial concepts including present value analysis, financial modeling, capital markets instruments
  • Ability to interact with and build relationships with people from different departments and levels of seniority
  • Strong verbal and written communication skills
  • Self starter with good commercial perspective
  • Experience in a relevant field (i.e. Risk Management, Liquidity, Funding, Corporate Finance, Capital Markets) a plus
  • 2+ years of experience

Req #: 160045893
Location: New York, NY US
Job Category: Accounting/Finance/Audit/Risk
Employment Type: Full Time
Potential Referral Amount: 0 US Dollar (USD)

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