
Analyst Global Market Corporate Finance
Full time @Bank of Montreal posted 11 months ago in Accounting & Regulatory Reporting , in Client Services & Operation Support , in Risk Management Governance & Compliance Shortlist Email JobJob Description
Capital Mrkts Sales & Service
BMO Capital Markets is a leading, full-service financial services provider. We offer corporate and investment banking, treasury management, as well as research and advisory services to clients around the world. #bmocapitalmarkets
Analyst, Corporate Structured Finance, Global Markets
The Corporate Structured Finance team is part of a multi-asset group at BMO Capital Markets. The team services Corporate, Commercial, Sponsor, and High Net Worth clients across Commodities, Equity & Equity-Linked, FX, and Rates.
In this role you will be primarily focused on Equity Derivatives & Financing Solutions (Concentrated Margin Loans, Equity Hedging & Monetization strategies utilizing derivatives & swaps, and more). You will be part of a lean team with a flat structure which provides for an accelerated & enhanced learning experience.
Responsibilities:
- You will be expected to assist the team in growing revenue via opportunity identification with respect to existing clients and prospecting new clients
- This role requires collaboration across the spectrum with stakeholders in accounting, banking, legal, risk, trading as part of the transaction underwriting & execution process
- You will be expected to execute live transactions and work on all transaction aspects including structuring, transaction booking, liaising with clients, and negotiation of legal documents
- This role requires an individual that is able to work as part of a team, has a strong analytical and problem solving mindset, and is highly attentive to details under time sensitive situations
- The expectation for this role is that you have the ability to work independently and have the ability to regularly handle non-routine situations
- Broader work or accountabilities may be assigned as needed
Qualifications:
- Between 1-3 years of relevant experience and post-secondary degree in Accounting, Commerce, Finance, Economics, and/or Mathematics
- Familiarity with capital markets, derivatives and derivatives pricing, and hedging strategies
- Strong financial analysis skills and critical thinking ability
- Strong qualitative skills (collaboration, communication, presentation, team-work, etc.)
- Strong familiarity with Microsoft Office (Outlook, Excel, PowerPoint), and Bloomberg
- Professional designations (CFA, CPA, etc.) are helpful but not required
- Series 7, 63 (FINRA registrations) are helpful but not required