2027 Analyst, Corporate Banking

Royal Bank of CanadaNew York, NY
Onsite

About The Position

Responsible for assisting in structuring, execution, administration, and management of bank debt and corporate credit facilities to the client base. RBC Capital Markets is a premier investment bank that provides a focused set of products and services to corporations, institutional investors and governments around the world. With more than 7,100 professionals, we operate out of 70 offices in 15 countries across North America, the U.K., Europe, and the Asia-Pacific region. We work with clients in over 100 countries around the globe to deliver the expertise and execution required to raise capital, access markets, mitigate risk and acquire or dispose of assets. According to Bloomberg and Dealogic, we are consistently ranked among the largest global investment banks. RBC Capital Markets is part of a leading provider of financial services, Royal Bank of Canada (RBC). Operating since 1869, RBC is one of the top 15 largest banks in the world and the fifth largest in North America, as measured by market capitalization. With a strong capital base and consistent financial performance, RBC is among a small group of highly rated global banks.

Requirements

  • Bachelor’s degree with a focus in Business, economics, Finance, Mathematics or other quantitative fields.

Nice To Haves

  • Credit training is highly desired

Responsibilities

  • Assist in structuring acquisition loans, bridge loans and corporate revolvers.
  • Preparation of credit submissions and other documentation related to the transaction approval process (including assistance related to loans syndications, pipeline management, single name strategies and Exceptions Committee papers) through closing and ongoing monitoring.
  • Structure and monitor syndicated and bi-lateral loan transactions.
  • Provide assistance in Corporate Banking coverage for identified clients, including identification of cross sell opportunities in all RBC CM active products and markets.
  • Work in a team environment with Investment Banking, DCM, LevFin, FX, Rates, Commodities, etc.
  • Ensure timely updates on client, industry and market performance, particularly in connection with any signs of potential deterioration or developments requiring amendments/waivers to existing loan documentation.
  • Assistance with internal credit administration, including monitoring of the team’s loan portfolio performance and market/industry conditions as they affect this performance.
  • Liaise and be primary contact with back and middle office functions connected to, for examples, wires, payments, settlements etc.
  • Engage peers in Risk Management and Credit Portfolio Management in the application for credit and in subsequent administration and monitoring.
  • Proactively identify operational risks/ control deficiencies in the business.
  • Review and comply with Firm Policies applicable to your business activities.
  • Escalate operational risk loss events, control deficiencies and risks that you identify to your line manager and the relevant risk and control functions promptly.

Benefits

  • 401(k) program with company-matching contributions
  • health, dental, vision, life and disability insurance
  • paid time-off plan
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