Associate, FIG
Bayview Asset Management - New York City, NY
Apply NowJob Description
OverviewPosition Summary:Bayview's Financial Institutions Group ("FIG") identifies, establishes, and develops client relationships through direct coverage of banks and other financial institutions across North America. The group serves to originate and structure opportunities across Bayview's investment offerings, providing solutions for dynamic client needs through a deep understanding of market trends, regulatory and capital considerations, and strategic objectives.We are seeking a highly motivated candidate to join the FIG team in an organization that is a proven leader in the growing private capital universe. The candidate will provide analytical support for client engagements, transaction-related activity (including significant risk transfer ("SRT"), and other strategic initiatives. In addition, the candidate will collaborate with senior members of the team to identify and analyze market opportunities, and source and structure bespoke solutions across multiple asset classes.Responsibilities:Responsible for financial modeling and analysis, including understanding and assessing capital structures, financial projections, and impacts of balance sheet actionsParticipate in all stages of a transaction process, including deal sourcing, structuring, pricing and valuationCollaborate with cross-functional teams to deliver high-quality deliverables within tight deadlines, include partnering with third party advisors, such as lawyers, accountants, and other consultantsDevelop and prepare client presentationsAnalyze market, regulatory, and demand trendsAid in client targeting and product development, including thinking creatively around deal structures and evolving client needsAbility to review and understand bank regulatory and accounting frameworks, and application to transaction-related opportunitiesInteract and form partnerships with banks and financial institution clients through consistent engagement and coverageQualifications:Bachelor's degree and at least 2 years of work experience or MBA degree with relevant experienceInvestment banking or equivalent experience, with preferred background covering banks and financial institutionsPreferred product experience andor knowledge of significant risk transfer (SRT) credit risk transfer (CRT)Skills:Strong technical skills, with experience in financial modeling and ability to interpret and analyze financial statementsStrong written and verbal communication skillsHigh level of focus on work quality and attention to detailCommercial instinct and ability to perform under pressure and tight deadlinesStrong culture carrier and a demonstrated ability to work effectively with team membersThe annual salary for this position ranges from $100,000 to $130,000, depending on experience and qualifications. In addition to the base salary, we offer a discretionary annual bonus and comprehensive benefits package that includes health insurance, retirement plans, and paid time off.EEOC Bayview is an Equal Employment Opportunity employer. All aspects of consideration for employment and employment with the Company are governed on the basis of merit, competence and qualifications without regard to race, color, religion, sex, national origin, age, disability, veteran status, sexual orientation, or any other category protected by federal, state, or local law.
Created: 2025-02-14