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Capital Markets Analyst

Stori

Ciudad de México

Presencial

MXN 200,000 - 400,000

Jornada completa

Hoy
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Descripción de la vacante

A financial services company in Mexico City is seeking a Senior Capital Markets Analyst. In this pivotal role, you will support equity and debt financing transactions, ensuring precise reporting, enhancing financial strategies, and leading collaboration across Finance, Treasury, and Legal teams. The ideal candidate is proactive, possesses advanced skills in Excel and presentation tools, and has a solid grasp of Finance fundamentals. This position is crucial as the company embarks on a new growth stage and offers excellent career development opportunities.

Formación

  • Strong written and verbal communication skills in English.
  • Proactive with a strong desire to learn and take on challenges.
  • Advanced Excel and PowerPoint skills required.
  • Ability to create clear and concise presentations.
  • Solid understanding of Finance and Accounting principles.
  • Preferred knowledge of SQL, Tableau, Quicksight, or PowerBI.

Responsabilidades

  • Support execution of equity and debt transactions, including due diligence.
  • Prepare presentations for Board and senior management.
  • Enhance reporting on funding and liquidity metrics.
  • Build financial models for liquidity and investment monitoring.
  • Collaborate with Finance and Legal teams.
  • Identify process improvement opportunities.

Conocimientos

Excellent command of written and spoken English
Curiosity and proactivity
Advanced proficiency in Microsoft Excel and PowerPoint
Proficiency in presentations
Understanding of Finance fundamentals
SQL and Tableau/Quicksight/PowerBI proficiency
Descripción del empleo
Job Description

As a Senior Capital Markets Analyst on the finance team, you will play a key role in supporting our capital and funding strategy. You will work directly on both equity and debt financing transactions, leading diligence requirements and preparing materials for investors and lenders. You will also support portfolio investments and drive overall financial strategy. In this role, you’ll work cross-functionally with Investor Relations and Treasury as well as other areas of Finance and Legal to set and meet targets for funding and liquidity. You will own transaction deliverables and make improvements in reporting and processes. This is a high-impact position at the center of our capital markets activity and a critical enabler as the company enters a new growth stage.

Job Requirements
  • Excellent command of written and spoken English.
  • Naturally curious, eager to learn, and proactive in taking on new challenges.
  • Advanced Proficiency in Microsoft (Excel/Powerpoint) and Google Office suites
  • Proficiency in building clear and concise presentations (PowerPoint/Google Slides).
  • Excellent understanding of Finance fundamentals and Accounting principles
  • SQL and Tableau/Quicksight/PowerBI Proficiency Preferred
  • Support execution of equity and debt capital markets transactions, including due diligence, data requests, and preparation of investor and lender materials.
  • Prepare presentations for the Board, investors, and senior management to support strategic decision-making.
  • Produce and enhance internal and external reporting on funding, liquidity, investments and financial performance metrics.
  • Build and maintain financial models and maintain monitoring for liquidity scenarios, portfolio investments, and funding costs.
  • Collaborate cross-functionally with Finance, Treasury, and Legal teams to ensure alignment and keep stakeholders informed
  • Identify opportunities to improve processes, remove roadblocks, and execute projects that advance team goals and company objectives.
Job Responsibilities
  • Support execution of equity and debt capital markets transactions, including due diligence, data requests, and preparation of investor and lender materials.
  • Prepare presentations for the Board, investors, and senior management to support strategic decision-making.
  • Produce and enhance internal and external reporting on funding, liquidity, investments and financial performance metrics.
  • Build and maintain financial models and maintain monitoring for liquidity scenarios, portfolio investments, and funding costs.
  • Collaborate cross-functionally with Finance, Treasury, and Legal teams to ensure alignment and keep stakeholders informed
  • Identify opportunities to improve processes, remove roadblocks, and execute projects that advance team goals and company objectives.
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