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Sumitomo Mitsui Banking Corporation Associate, Latin America Corporate Finance in New York, New York

Perform complex financial analyses and research to assess the borrowing capacity and financial stability of clients within our Latin America Corporate Finance portfolio, including analyzing market historical performance, conducting business and financial analysis using spreadsheets, building financial models, economic forecasting, and statistical analysis to evaluate debt repayment capacity, and to predict short-term and long-range earning capacity. Draft credit applications, including performing credit analyses, preparing credit applications, and identifying credit risks to present to senior management. Identify and gather supporting information to liaise with middle and back office for KYC purpose and respond to inquiries from the Credit Department. Provide support in transactions, amendments, deal closings, and funding, documentation and conditions review, and other credit events customary to the business. Manage reviews of borrowers and handle a variety of systems and processes, such as internal grading, deal profitability, internal approvals and periodic reporting items. Build financial models to be used in pitches and client advisory projects, including corporate finance models, LBOs, and valuation models. Prepare internal presentations for meetings with our Credit department on special credit names and new transactions and prepare client materials. Conduct market and industry analyses to identify new business opportunities and trends, existing and potential special credit names, and then present findings to senior management.Requirements:Master’s in Business Administration, Accounting, or Global Finance, plus two years of experience in the position offered or as an analyst for a global bank or financial services firm.**All required experience must have included performing financial analyses and in-depth research on business, industry, and economic trends, conducting credit analysis and financial modeling, and presenting findings in analytical reports; analyzing and interpreting financial statements (balance sheet, income statement, cash flow, financial reports) of new clients and transactions and performing cash flow analysis; synthesizing large amounts of information, analyzing risk and identifying mitigating factors; conducting KYC for a financial portfolio; developing marketing materials, including pitch books on finance products and services, for presentation to prospective and existing clients; experience with corporate banking, capital markets, debt products, financing products, distribution/syndication processes, and derivatives; and working with Microsoft Office Suite (PowerPoint, Excel, Word), Debtdomain/Intralinks, Bloomberg, Capital IQ, and Moody’s.This role entails hybrid work, with time split between working in our New York, NY office and flexibility to telecommute from another U.S. location.#LI-DNI

Minimum Salary: 150,000 Maximum Salary: 150,000 Salary Unit: Yearly

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