The point where experts and best companies meet
Share
RESPONSIBILITIES:
Perform various types of financial and valuation analyses to evaluate mergers, acquisitions, debt, equity, and other capital raising transactions using valuation methodologies including comparable companies, precedent transactions, LBO, and DCF.
Contributing to the preparation and review of materials used in the bank’s financing and advising role for clients, including investment memoranda, management presentations, financial models, and pitchbooks.
Develop relationships with new and existing clients in order to expand the business.
Perform due diligence, research, analysis, and documentation of live transactions.
Conduct company and industry research to support financial advisory.
Contribute to several projects at once and work effectively as an individual and as part of a team.
Create other types of presentations for clients and internal purposes.
Conduct Financial Institutions industry-specific, asset/credit quality analysis, capital adequacy analysis, and capital impacts analysis.
Conduct other corporate finance analyses, including WACC, value creation, accretion/dilution, deleveraging, rating, and sensitivity analyses, LBO, DCF, precedent transactions, and public comps (including implied returns analyses and sensitivities).
Conduct in-depth competitive market and market size analyses, including brokers’ benchmarking, peers’ financial and operating benchmarking, and market size appraisal.
Conduct synergies valuation and analysis. Conduct research using Factset, Capital IQ, Bloomberg, Thomson Reuters, and Factiva to analyze market data and competitive dynamics.
Remote work may be permitted within a commutable distance from the worksite.
REQUIREMENTS:
Bachelor's degree or equivalent in Business Administration, Finance, Economics, or related; and
2 years of experience in the job offered or a related finance occupation.
Must include 2 years of experience in each of the following:
Conducting Financial Institutions industry-specific, asset/credit quality analysis, capital adequacy analysis, and capital impacts analysis;
Conducting other corporate finance analyses, including WACC, value creation, accretion/dilution, deleveraging, rating, and sensitivity analyses, LBO, DCF, precedent transactions, and public comps (including implied returns analyses and sensitivities);
Conducting in-depth competitive market and market size analyses, including brokers’ benchmarking, peers’ financial and operating benchmarking, and market size appraisal;
Conducting synergies valuation and analysis; and,
Conducting research using Factset, Capital IQ, Bloomberg, Thomson Reuters, and Factiva to analyze market data and competitive dynamics.
If interested apply online at or email your resume to and reference the job title of the role and requisition number.
BofA Securities, Inc.
1st shift (United States of America)These jobs might be a good fit