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Analyst Corporate and Leveraged Finance

Crédit Agricole CIB

Madrid

Presencial

EUR 40.000 - 80.000

Jornada completa

Hace 30+ días

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Descripción de la vacante

Una firma innovadora busca un profesional en finanzas para unirse a su equipo en Madrid. Esta posición ofrece la oportunidad de ejecutar transacciones de financiamiento apalancado y telecomunicaciones, manteniendo un diálogo fluido con empresas de la cartera y generando oportunidades de negocio. Se requiere un sólido conocimiento de instrumentos de deuda y habilidades avanzadas en modelado financiero. Si tienes un enfoque analítico y te apasiona el trabajo en equipo, esta es tu oportunidad de contribuir a un entorno dinámico y desafiante, donde tus habilidades serán valoradas y tu crecimiento profesional será fomentado.

Formación

  • Conocimientos en economía y finanzas nacionales e internacionales.
  • Habilidades avanzadas para identificación y análisis de riesgos.

Responsabilidades

  • Ejecución de transacciones de financiamiento apalancado y telecomunicaciones.
  • Monitoreo de la cartera y seguimiento de transacciones cerradas.

Conocimientos

Estructuración de transacciones de financiamiento
Análisis financiero
Identificación de riesgos
Comunicación efectiva
Trabajo en equipo

Educación

Grado en Economía
Grado en Administración de Empresas
Grado en Ingeniería

Herramientas

Excel
Word
PowerPoint

Descripción del empleo

Summary

The position entails responsibilities in Leveraged and Telecom finance including: (i) deal execution, (ii) client coverage from a product perspective, (iii) portfolio monitoring, and (iv) coordination with other métiers with the intention to develop cross-selling activities in the CLF area in Spain and Portugal.

Key Responsibilities:

  • Execution of Leveraged and Telecom finance transactions:

Preparation of all internal credit documentation: credit application, financial model, rating assessment, and PI calculation;

Analysis of available information, including public information, broker notes, and due diligence reports;

Negotiation of all the legal documentation: Term Sheet, SFA, ICA, Fee Letter, Commitment documents, etc.;

Execute transactions syndicated to market in conjunction with the distribution team. Prepare marketing materials, manage investor's Q&A, and coordinate other syndication workstreams.

  • Follow-up of closed transactions and portfolio monitoring:

Maintain a fluent dialogue with existing portfolio companies from a product basis and identify potential business opportunities;

Monitor periodic financial information;

Prepare or help to prepare all internal credit follow-up processes, including waivers and annual reviews.

  • Client coverage and screening of potential transactions:

Discuss potential transactions with clients and generate business ideas from a corporate loan product perspective;

Liaise with other departments, especially Distribution/Syndicate (DAR), High Yield (CLF-HY), M&A (GIB), Ratings, and Derivatives Desk (GMD), to generate cross-selling opportunities.

  • Assist transversally in other transactions across CLF working in conjunction with other team members in Iberia or abroad:

Other products within CLF include Corporate Acquisitions, Leveraged Finance, Telecom Finance, and High Yield, Ratings Advisory among others.

Knowledge needed:

  • General knowledge of national and international economy and finance.
  • In-depth knowledge of available debt instruments (recourse and non-recourse).
  • Advanced skills for risk identification, analysis, and mitigation alternatives.

Qualifications / Education Required:

  • Degree in Economics, Business Administration, or Engineering.
  • Solid academic results required.
  • Fluent in Spanish and English.

Experience Required:

  • Strong background in structuring financing transactions.
  • Experience with leveraged finance structuring features.
  • Experienced command of financial modeling.
  • Solid documentation skills.
  • High proficiency in Excel, Word, and PowerPoint.

Competencies Required:

  • Solid financing and analytical skills, including: Accounting principles and international accounting standards, Valuation principles, Financial statement consolidation, and Legal background.
  • Hard worker and team player;
  • High communication skills: verbally and written;
  • High learning capacity;
  • High degree of autonomy.

Special role requirements:

  • General knowledge of national and international economy and finance;
  • General knowledge of national and international accounting and tax principles;
  • Deep knowledge of corporate acquisition structuring features;
  • Deep knowledge of Spanish/Portuguese large and mid-cap corporates;
  • Deep knowledge of available debt instruments (recourse and non-recourse);
  • Sound analytical skills with strong modeling capabilities;
  • Experienced skills for risk identification, credit analysis, and mitigation alternatives;
  • Deep knowledge of the legal regime applicable to available debt instruments, together with specific legislation applicable to corporate acquisitions.
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