This role involves providing market analysis and client advisory services across multiple regions and currencies. The position requires monitoring global rate and credit market dynamics and their impact on international clients' debt portfolios and funding decisions. Key responsibilities include client coverage for non-US banks accessing US capital markets and US corporations accessing non-US capital markets, writing pricing reports, and reviewing transaction documentation for cross-currency bond issuances. The role also entails monitoring and communicating market trends in Europe, Asia, and the United States to clients across various sectors such as technology, telecom, healthcare, industrials, utilities, and financials. Additionally, the position involves presenting market updates, pitching debt issuance opportunities in various currencies, and preparing macroeconomic reports on key indicators like inflation, GDP, and central bank policy.
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Job Type
Full-time
Career Level
Mid Level