Mizuho Financial

Investment & Corporate Banking - Technology, Media & Telecommunications (TMT), Analyst (SF)

Mizuho Financial • $110K — $130K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance or Economics with 1+ years' experience in corporate finance at a top global bank.
  • Solid understanding of corporate finance, securities, and financial markets.
  • Capability to analyze and synthesize large data sets into actionable insights.
  • Proficient in managing multiple projects under pressure with tight deadlines.
  • Strong verbal and written communication skills with the ability to effectively convey complex ideas.
  • Exhibit creativity and intellectual curiosity for innovative idea generation.
  • Experience with FactSet, CapitalIQ, Bloomberg, and advanced Microsoft Office tools.
  • Possession of Series 79 and 63 licenses.

Responsibilities

  • Conduct thorough quantitative analysis and research on economic, industry, and company data.
  • Model diverse corporate finance strategies and perform due diligence for M&A and capital structures.
  • Assess risk and return profiles for various financing transactions.
  • Engage in financial modeling and valuation analyses along with market-specific assessments.
  • Facilitate collaboration for idea generation across global product platforms.
  • Draft and coordinate client pitches and marketing materials for financing options.
  • Assist in structuring and evaluating transactions through preparation and due diligence.

Benefits

  • Generous employee benefits package includes health and wellness programs.
  • Opportunities for a discretionary bonus based on performance.
  • Exposure to a variety of projects for diverse experience.
  • Support for professional development and continued education opportunities.
Full Job Description
About the Role:

Investment & Corporate Analysts are directly involved in the design, origination, structuring and execution of financial advisory, global capital markets, financial risk management, structured & syndicated finance, and other global products and services for existing and prospective clients. An Analyst is expected to understand the implications, identify key industry and product trends and provide input on pitch and deal material to enhance the ultimate deliverable.

Analysts are assigned to a variety of projects and are given a broad range of responsibilities, some of which include:
  • Conduct extensive quantitative economic, industry and company research and analysis
  • Conduct and model a broad range of corporate finance alternatives and due diligence for client transactions including M&A, strategic alternatives, capital structure development, acquisition finance and syndicated loan and capital market financing
  • Evaluate risk/return parameters of financing transactions
  • Financial modeling, valuation, comparable & relative value analyses and market-specific analysis
  • Facilitate and coordinate product group idea generation and solutions development across a broad platform of global capabilities
  • Draft client pitches and marketing materials including M&A, syndicated bank financing, public/private debt & equity capital markets, and other internal documentation by coordinating internal and external resources
  • Assist in financing structuring, underwriting transaction evaluation, preparation, due diligence and execution
  • Assist in the development and continued cultivation of client relationships


Qualifications:
  • Bachelors degree in Finance or Economics and a minimum of 1 year corporate finance and capital markets experience with a top tier global bank
  • Knowledge of corporate finance, securities, financial markets and risk & pricing analysis
  • Aptitude to synthesize large amounts of information and develop innovative ideas and/or product solutions
  • Ability to manage multiple projects simultaneously
  • Ability to work under pressure and adhere to tight deadlines
  • Strong written and oral communication skills and ability to convey ideas
  • Creativity and intellectual curiosity
  • Ability to work independently and must be able to work effectively in a team environment
  • Advanced proficiency with FactSet, CapitalIQ, Bloomberg, Microsoft Office
  • Series 79 & 63


The expected base salary ranges from $110K - $130k. Salary offers are based on a wide range of factors including relevant skills, training, experience, education, and, where applicable, certifications and licenses obtained. Market and organizational factors are also considered. In addition to salary and a generous employee benefits package, successful candidates are eligible to receive a discretionary bonus.

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About Mizuho Financial

Mizuho Financial Group, Inc. is a Japanese banking holding company headquartered in the ?temachi district of Chiyoda, Tokyo, Japan. The name "mizuho" literally means "abundant rice" in Japanese. It holds assets in excess of $1.8 trillion US dollars through its control of Mizuho Bank, Mizuho Corporate Bank, and other operating subsidiaries. The company's combined holdings form the second largest financial services group in Japan. Its banking businesses rank third in Japan after Mitsubishi UFJ Financial Group and Sumitomo Mitsui Financial Group. It is the 15th largest banking institution in the world by total assets as of December 2018.
Learn more about Mizuho Financial
Size
54,492 employees
Market Cap
$35 billion
Industry
Net Income
$84.4 billion
5 Year Trend
-0.6%
NASDAQ

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