Global Banking & Markets - New York - Associate, Banker - CSG - 9879298
$150,000–$150,000 year
On-siteNew York City, New York, United States or New York, United States
Job Summary
Structure, analyze, and execute transactions for transportation companies in aviation, shipping, sea container, and rail asset classes. Review proprietary financial models to prepare Discounted Cash Flow, Leveraged Buyout, Merger Consequences, Comparable Companies, and Precedent Transactions analysis. Mentor junior professionals by reviewing financial modeling work, presentations, and memoranda required for internal approvals. Lead dialogues with senior bankers and product experts while liaising with clients to provide updates, advice, and presentation materials. Oversee financing live deal execution, including due diligence, negotiating legal documents, and organizing roadshows. Conduct detailed analysis of client financing needs and capital structures within business strategy frameworks, and advise on bond structuring choices. Build long-term client relationships and develop senior-level dialogue around direct capital market topics including refinancing, rating advisory, and strategic alternatives.
Required Qualifications
- Bachelor's degree (U.S. or foreign equivalent) in Economics, Finance, Mathematics, Accounting, or a related field
- Two (2) years of experience in the job offered or a related role
- Prior employment must include two (2) years of experience with: working for clients in structured finance transactions in the transport sector applying understanding of specific roles, timing, deliverables, and scope of work
- Prior employment must include two (2) years of experience with: reviewing and performing quantitative analysis based on complex legal documents such as commitment papers, fee letters, and purchase and sale agreements
- Prior employment must include two (2) years of experience with: building technical and complex dynamic financial modeling and analysis that include numerous financing scenarios and incorporate corporate finance concepts, risk return dynamics and GAAP and non-GAAP (or foreign equivalent) principles, including cash-flow based models, three statement models, discounted cash flow analysis, and comparable company analysis
- Prior employment must include two (2) years of experience with: analyzing financial statements, financial projections, and models as prepared in various formats by clients
- Domestic and international required approx. 5% of the time to meet with clients and attend meetings
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