SENIOR ASSOCIATE LEVERAGED FINANCE(
Job Number : BNP-00048')
WHO WE ARE
BNP Paribas Corporate & Institutional Banking (CIB) is a globally recognized leader offering financial solutions to corporate and institutional clients.
With more than 33,000 people in 56 countries across EMEA, Asia-Pacific and the Americas, we offer solutions tailored to all our clients across capital markets, financing, treasury and financial advisory.
Within BNP Paribas’ CIB division, Debt Markets EMEA gathers a group of over 200 loan and bond (investment grade and high yield) professionals located in London, Paris, Madrid, Frankfurt, Brussels, Amsterdam, Milan and Lisbon, covering the Bank’s core clients in Europe across all economic sectors.
Debt Markets EMEA consists of three main teams : (i) Leveraged Finance Capital Markets (LFCM), (ii) Loan Capital Markets (LCM) and (iii) Investment Grade Debt Capital Markets (IG DCM).
Together, these teams are responsible for the origination, structuring, underwriting and execution of LBO and Leveraged Corporate financings, investment grade bond and loan financings to large corporates, and integrated financing solutions to midcap and sub-investment grade corporate clients.
The Structuring and Execution Group supports all these activities.
Thanks to a team of over 15+ Debt Markets professionals covering all the above activities for the Iberian market (i.e. Spain and Portugal), BNP Paribas has ranked #1 in league tables over the last 3 years in leveraged finance in Iberia.
YOUR FUTURE JOB
You would be joining the Structuring and Execution Group team based in Madrid and report to the local coordinator. The Structuring & Execution Group is a central component of Debt Markets supporting senior originators across a wide range of debt products on a pan-European basis.
As an Associate, you will be primarily responsible for managing the day-to-day execution of live deals (including High Yield Bonds and Term Loan), leading internal processes as well as supporting the outbound marketing activity of the senior originators.
You will run financial models, complete financial and credit analysis and structure Debt Markets transactions. Additionally, you will be responsible for the production of materials for internal approval committees, syndication purposes and marketing efforts.
You will also provide instructions and learning opportunities to more junior team members. This requires strong quantitative skills and the capacity to work on several transactions in parallel, which requires good organization skills and strong commitment.
PRIMARY RESPONSIBILITIES
Origination
Execution
Regulation
WHAT WE EXPECT FROM YOU
BY CHOOSING US, YOU GET