2025 Global Capital Markets Analyst Program (Menlo Park)

Morgan Stanley CampusMenlo Park, CA
4d

About The Position

WE OFFER Training designed to equip analysts with the fundamental skills they need to be successful in the Global Capital Markets (GCM) Division A market driven environment with an open trading floor where you are closely integrated with your team The opportunity to work with our clients on complex, innovative financing, and risk management solutions in a trading floor setting where you would potentially sit beside your Managing Director A flat structure experience that will provide you with a high level of responsibility early in your career YOU WILL Responsibilities may include but are not limited to: Work on a team focused on a sector or product vertical to originate and execute investment grade debt-related transactions Learn to interpret large amounts of market data and trends and understand how they affect client strategies Analyze potential opportunities as well as outstanding debt portfolios to optimize companies’ balance sheets and capital structures Assist in sourcing and pitching unique and creative trades to take advantage of the constantly changing market environment Partner closely with other teams in FICM, across the GCM floor, and with other divisions such as the Investment Banking Division (IBD) and Fixed Income Division (FID) QUALIFICATIONS Pursuing a bachelor’s degree and will graduate between December 2024 and July 2025 Basic knowledge of and a keen interest in finance Outstanding analytical and quantitative skills A great multi-tasker, possess a strong work ethic, and have a positive attitude Excellent verbal and written communication skills A quick learner, both a leader and team player, and a self-starter with the ability to work independently Detail oriented with strong organizational skills and ability to manage time efficiently and effectively

Requirements

  • Pursuing a bachelor’s degree and will graduate between December 2024 and July 2025
  • Basic knowledge of and a keen interest in finance
  • Outstanding analytical and quantitative skills
  • A great multi-tasker, possess a strong work ethic, and have a positive attitude
  • Excellent verbal and written communication skills
  • A quick learner, both a leader and team player, and a self-starter with the ability to work independently
  • Detail oriented with strong organizational skills and ability to manage time efficiently and effectively

Responsibilities

  • Work on a team focused on a sector or product vertical to originate and execute investment grade debt-related transactions
  • Learn to interpret large amounts of market data and trends and understand how they affect client strategies
  • Analyze potential opportunities as well as outstanding debt portfolios to optimize companies’ balance sheets and capital structures
  • Assist in sourcing and pitching unique and creative trades to take advantage of the constantly changing market environment
  • Partner closely with other teams in FICM, across the GCM floor, and with other divisions such as the Investment Banking Division (IBD) and Fixed Income Division (FID)

Benefits

  • Training designed to equip analysts with the fundamental skills they need to be successful in the Global Capital Markets (GCM) Division
  • A market driven environment with an open trading floor where you are closely integrated with your team
  • The opportunity to work with our clients on complex, innovative financing, and risk management solutions in a trading floor setting where you would potentially sit beside your Managing Director
  • A flat structure experience that will provide you with a high level of responsibility early in your career
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service