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To raise capital and manage the financial risk of clients, including financial advisory services, identification and origination of market opportunities, research, economic analysis.
Job Responsibility
Development and maintenance of strong relationships with corporate, financial and institutional clients to understand their financing needs and objectives
Development and maintenance of complex financial models to assess the value of assets, companies, or securities and identify the most appropriate structuring of capital raising initiatives
Collaboration with Coverage, M&A, Syndicate, Global Markets, and cross functional teams to ensure successful origination, company due diligence, and execution of various capital market transactions
Identification, assessment, and management of risks associated with capital markets transactions and development of risk mitigation strategies in alignment with regulatory requirements
Research, financial data analysis and continued development of market insights and investment recommendations
Requirements
In-depth technical knowledge and experience in assigned area of expertise
Understanding of underlying principles and concepts within area of expertise
Ability to lead and supervise a team
Ability to guide and persuade team members
Ability to communicate complex/sensitive information
Evaluative judgement based on analysis of factual information
Problem resolution through application of technical experience
Risk management and control strengthening
Understanding of how own sub-function integrates with function
Knowledge of organisations products, services and processes
Understanding of how areas coordinate to achieve organisation sub-function objectives
Barclays Values of Respect, Integrity, Service, Excellence and Stewardship