London – Graduate Analyst Programme 2017 – Asset Finance & Securitisation

Europe
UK
London
Graduate / Analyst
Global Markets
Other

London – Graduate Analyst Programme 2017 – Asset Finance & Securitisation


Who we are:

BNP Paribas Corporate & Institutional Banking (CIB) is a leading European investment bank with global leadership in many of our businesses. We are part of the BNP Paribas Group, a financial institution with solid foundations and a proven ability to adapt to change. If you are thinking about a career in investment banking, there is no better place to begin your journey than with BNP Paribas CIB. With nearly 30,000 employees in over 55 countries, we can offer you an exciting start to your career.

 

Global Markets is BNP Paribas’ capital markets business within the Corporate & Institutional Bank (CIB), delivering solutions across asset classes, and industry-leading services for clients including corporates, private banks, sovereigns, institutional and retail distribution networks.

 

Global Markets encompasses six global business lines; G10 Rates, Equity Derivatives, Forex & Local Markets, Commodity Derivatives, Primary & Credit Markets and Prime Solutions & Financing, helping their franchise of clients find effective ways to raise and invest capital as well as manage their exposure to risk.

 

About Asset Finance and Securitisation (AFS)

  • Asset Finance and Securitisation (AFS) is one of three central pillars of the Primary & Credit Markets Global Business Line
  • The AFS Primary team originates, structures and syndicates structured and securitised products for the Bank’s clients, and provides portfolio management and administration services. Products include ABS, CLO, RMBS, CMBS, Private Credit / Illiquids and EM Structured Debt, as well as structured loans originated by the Financing Solutions origination teams
  • AFS Primary Financing provides asset warehousing facilities and other term lending

 

What you’ll do

Working in the AFS EMEA Portfolio Management team, the successful candidate might expect to be involved in the following tasks:

  • Perform quantitative and qualitative risk analysis of different client-driven financing transactions
  • Price a defined range of transactions for clients
  • Contribute to the design and potential execution of risk management and hedging strategies
  • Liaise with the Structuring team to ensure the robustness, from a Risk point of view, of clients financing transactions
  • Liaise with the Risk Department to ensure compliance with all regulatory and control requirements
  • Develop spreadsheets to help the desk price, monitor, manage and report risks.
  • Prepare daily P&L and escalate any unexplained elements to the desk head for sign off

 

Technical skills and qualifications required for the role

  • A minimum of a Bachelor’s degree in Engineering, Financial Engineering, Finance, Maths, Sciences, Economics, Econometrics or related disciplines
  • Previous related internship or work experience in financial services and/or investment banking
  • Experience in using information systems (Bloomberg, Reuters) are advantageous
  • Proactive and enthusiastic self-starter
  • Strong mathematical, analytical & quantitative skills
  • Strong attention to detail
  • Strong organisational and time management skills
  • Strong notions of corporate finance
  • Team player
  • Excellent spoken and written English are crucial and other languages are a definite advantage in this field as you will ideally converse with your clients in their native language.

 

Conduct

  • Be a role model, supporting and fostering a culture of good conduct
  • Demonstrate proactivity, transparency, and accountability for identifying and managing conduct risks
  • Consider the implications of your actions on colleagues

 

Locations: London

Salary: Competitive

Closing Date: 12th May 2017

This programme is closed to applications.