2027 Global Capital Markets Summer Analyst Program (New York)

Morgan Stanley CampusNew York, NY
8hOnsite

About The Position

Morgan Stanley is a worldwide leader in Global Capital Markets and one of the top firms in underwriting across equity and debt transactions, as well as in bespoke derivative and structured solutions for institutional and corporate clients. Morgan Stanley’s Global Capital Markets division offers a 10-week program that takes place at Morgan Stanley’s headquarters in New York. The program is an opportunity to be placed on one of our desks within Global Capital Markets (GCM), which could include: Corporate Derivatives Group (CDG), Equity Capital Markets (ECM), Investment Grade Debt (IG), Leveraged Finance (LevFin), Private Capital Markets (PCM), Strategic Lending Group (SLG) or Securitized Products Capital Markets (SPCM). Summer Analysts will have the opportunity to learn from industry leaders across products and work on innovative transactions for clients. Over the course of the program, Summer Analysts will receive immersive training and orientation to develop a strong foundation in capital markets knowledge and financial analysis. Summer Analysts will have the opportunity to interact with other businesses across the firm, while also receiving formal mentorship and engagement from senior leadership. Summer Analysts will have the opportunity to be in a market driven environment while sitting on an open trading floor – closely integrated with their teams to receive on the job training and exposure to experienced professionals throughout the course of the internship. Program Overview Responsibilities may include but are not limited to: Work with our clients on complex, innovative financing and risk management solutions. Learn how to read complex financial models and understand basics of capital structure management. Learn how equity and debt deals are priced and play an active role in the origination and execution of transactions, while working closely with your Corporate Finance counterparts in Investment Banking. Help prepare materials to provide clients with valuable updates on market news and product trends, including how these affect their access to the public and private capital markets. Work with our trading and syndicate desks on pricing views and deal execution. Analyze and create, for both corporate and financial sponsors, various financing alternatives in the context of debt and/or loan financing, leveraged buyouts and acquisition financings. Model and structure complex equity and debt derivatives to help clients manage exposure to movements in share prices, interest rates and foreign exchange levels.

Requirements

  • Pursuing a Bachelor's degree and will graduate between December 2027 and Spring 2028.
  • Minimum 3.4 GPA.
  • Basic knowledge of and a keen interest in finance.
  • Outstanding analytical, quantitative and technological 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 with our clients on complex, innovative financing and risk management solutions.
  • Learn how to read complex financial models and understand basics of capital structure management.
  • Learn how equity and debt deals are priced and play an active role in the origination and execution of transactions, while working closely with your Corporate Finance counterparts in Investment Banking.
  • Help prepare materials to provide clients with valuable updates on market news and product trends, including how these affect their access to the public and private capital markets.
  • Work with our trading and syndicate desks on pricing views and deal execution.
  • Analyze and create, for both corporate and financial sponsors, various financing alternatives in the context of debt and/or loan financing, leveraged buyouts and acquisition financings.
  • Model and structure complex equity and debt derivatives to help clients manage exposure to movements in share prices, interest rates and foreign exchange levels.
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