We're looking for a candidate to fill this position in an exciting company.
The successful candidate will be part of an experienced team of professionals responsible for analyzing banking systems and banks in Europe. The analyst’s primary responsibility will be to manage a portfolio of issuers including ongoing analysis and surveillance, present and participate in rating committees, communicate with investors, and conduct issuer meetings.
The analyst will be required to have both extensive banking industry and specific issuer knowledge; contribute to ratings research; respond to queries from investors, media and issuers; prepare rating committee presentations; and publish rating press releases and reports.
Highly motivated candidates who are experienced professionals but still willing to learn, have a strong work ethic and who have the following skills will be paid particular attention: strong writing, quantitative and presentation skills; knowledge of the European financial system; and experience working under pressure in a close-knit team in the field of bank analysis, bank ratings or bank debt capital markets.
Graduate degree in business, finance or a closely related field preferred
Minimum of seven years of experience in bank credit analysis or directly related field
Fluency in other European languages required
Excellent business writing, communication and analytical capacity
Strong client relations and interpersonal skills
Team player with demonstrated ability to work in a fast-paced environment