Role OverviewVice Presidents are expected to assume significant levels of responsibility requiring intellectual curiosity, sound judgment, leadership, analytical rigor, and strong communication skills. The day-to-day responsibilities of a Vice President include performing financial analysis and modeling, developing and evaluating financing structures, preparing client and investor presentations, managing Associates & Analysts, and coordinating across clients, senior bankers, investors, lenders, and other transaction counterparties to help execute transactions from mandate through closing.
Key Responsibilities- Capital structure analysis and structuring: Build and maintain models to assess debt capacity, leverage, liquidity, and downside scenarios; develop and evaluate financing alternatives across debt and equity products, including bespoke and structured solutions
- Market insight and client advice: Monitor debt and equity market conditions, investor sentiment, and comparable transactions
- Transaction execution and materials: Prepare investor and lender materials, manage marketing processes, coordinate with investors, oversee data rooms and Q&A, draft and maintain process timelines, trackers, and term sheets
- Deal coordination: Serve as a key point of contact across clients, investors / lenders, senior bankers, legal counsel and other parties; manage timelines and deliverables through closing
- Team leadership: Direct and review Analyst work, ensuring high-quality output while interacting regularly with senior bankers, clients, and external stakeholders
Qualifications- Strong analytical, financial modeling, valuation, credit, and presentation skills; ability to assess businesses, capital structures, and financing alternatives
- Advanced knowledge of accounting, corporate finance, and capital markets, including leverage, credit metrics, debt instruments, covenants, and equity/IPO mechanics
- 4+ years of relevant experience in investment banking (capital markets, leveraged finance, debt or equity capital markets, corporate finance, or M&A) or an equivalent buy-side/credit role
- Familiarity with institutional investors and lenders, including private equity, credit funds, hedge funds, banks, and alternative asset managers
- Ability to produce accurate, high-quality work under tight deadlines and in high-pressure environments
- Strong judgment, intellectual curiosity, attention to detail, and problem-solving skills
- Excellent written and verbal communication skills; ability to interact effectively with internal teams, clients, investors, and other external parties
- Team-oriented with the ability to manage multiple transactions and priorities simultaneously
- Exceptional Excel and PowerPoint skills; strong ability to analyze financial statements and market data; familiarity with market data and research tools such as Bloomberg, Capital IQ, FactSet, Dealogic, or similar platforms
- Undergraduate degree required; finance, business, accounting, economics, mathematics, engineering, or related field preferred
Expected Salary: $250,000