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Analyst – Balance Sheet Analysis and Strategy – Financial Services Group, New York, NY
Company Companies (NYSE: PIPR) is a leading full service, global investment bank created through the merger of Piper Jaffray and Sandler O'Neill & Partners, L.P., which was completed on January 3, 2020. The combined company has over 1,500 employees and net revenue in excess of $1 billion.
We are currently looking for a full-time Balance Sheet Analyst to join our Financial Services Group in our New York, NY office.
The Balance Sheet Analyst position offers a unique opportunity for an ambitious professional seeking to play a meaningful role in our Balance Sheet Analysis and Strategy (BSAS) group. The group provides a holistic approach to balance sheet management, focused on building core franchise value for financial institutions, while helping financial institutions better evaluate their interest rate risk, perform strategic capital planning, address regulatory concerns, and model their securities, liabilities, and interest rate derivative portfolios in the context of balance sheet management.
The Balance Sheet Analyst will work primarily within the fixed income strategy and Asset/Liability management functions. The Analyst will help banks analyze and structure bond investment portfolios by modeling bank client financial statements and evaluating interest rate risk, and providing fixed income analytics, trade recommendations, trade impact analysis, and suggested portfolio allocations. In addition, the Analyst will:
Model bank financial profiles to evaluate interest rate risk
Utilize third-party and proprietary quantitative models to analyze client investment portfolios, including cash flow, yield, and market value analysis in both static and stressed interest rate environments.
Gain intimate familiarity with core U.S. fixed income asset classes.
Model peer analysis for financial institutions.
Generate trade ideas and achieve a deep understanding of bond accounting, regulatory, and overall balance sheet issues to act as a resource for client relationship teams, trading desk, and clients.
Integrate fixed income knowledge with pro-forma models that demonstrate the impact of balance sheet strategies on an institution's interest rate risk profile, as well as earnings, liquidity, credit, and capital management.
Attracting only the very best professionals has been and will continue to be a key element of our success. We are focused on hiring candidates with genuine potential and interest for advancement within our firm. A successful candidate will possess the following characteristics:
Bachelor’s degree in related field
Excellent academic record, including relevant coursework and/or internships
Demonstrated interest in finance and the financial markets
Excellent verbal, written and analytical skills with strong attention to detail
Ability to work in a fast-paced, deadline-driven environment both independently and as part of a team
Strong Excel modeling skills a plus
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