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Bank Of America Vice President Corporate Banker 
United States, New York, New York 
483846215

Today

RESPONSIBILITIES:

  • Perform various financial analyses, including merger /acquisition analysis, capital structure analysis and assessment of credit quality.

  • Develop and maintain complex financial models that are used in the preparation of client materials and internal approval memos.

  • Review credit agreements and indentures to analyze covenants, baskets and other relevant restrictions.

  • Develop an expertise in the industries that he/she covers and conduct in depth company research.

  • Navigate and lead internal processes.

  • Communicate and interact with both core and extended client team members from various product groups to build comprehensive client presentations and ensure seamless client delivery.

  • Participate in client meetings, portfolio planning sessions and product partner meetings and be able to identify cross-sell opportunities.

  • Prepare models for M&A financing and return of capital scenarios, credit memos for client approvals, and presentation materials to analyze client corporate finance requirements.

  • Use pragmatic market knowledge in a variety of sectors within fixed income markets, including corporate bonds and interest rate derivatives to assist clients in managing risk, strengthening balance sheets, and maximizing capital returns.

  • Assess the pricing and liquidity of different fixed income products including bank term loans, Investment Grade bonds, and High Yield bonds under different economic conditions to provide practical issuance ideas to clients.

  • Present cross sell opportunities to clients across a suite of products including loans, leasing, trade financing, and FX.

  • Remote work may be permitted within a commutable distance from the worksite.

REQUIREMENTS:

  • Bachelor's degree or equivalent in Economics, Mathematics, Finance or related: and

  • 4 years of experience in the job offered or a related Finance occupation.

  • Must have 4 years of experience in the job offered or a related finance occupation. Must include 4 years of experience in each of the following:

  • Preparing models for M&A financing and return of capital scenarios, credit memos for client approvals, and presentation materials to analyze client corporate finance requirements;

  • Using pragmatic market knowledge in a variety of sectors within fixed income markets, including corporate bonds and interest rate derivatives to assist clients in managing risk, strengthening balance sheets, and maximizing capital returns;

  • Assessing the pricing and liquidity of different fixed income products including bank term loans, Investment Grade bonds, and High Yield bonds under different economic conditions to provide practical issuance ideas to clients; and,

  • Presenting cross sell opportunities to clients across a suite of products including loans, leasing, trade financing, and FX.

  • The Employer will accept 3 years of academic study in a stated field plus 2 years of finance experience to meet the Bachelor’s degree requirement.

  • 10% domestic and international travel required, as necessary.

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)