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FIG Analyst, Bank Ratings & Capital Advisory (RAC)
The position as a FIG Analyst at Alantra in London involves helping banks optimize their credit profiles and achieve rating upgrades by analyzing balance sheets, capital management, and rating agency methodologies. The successful candidate will take on a senior role in team leadership and client service and must have experience in the banking industry, investment banking, or rating agencies.
Job description
The successful candidate will play a senior, client-facing role in the team’s continued expansion, supporting banks worldwide with their strategies regarding corporate credit rating agencies, balance sheet and capital management, and solutions to strengthen their credit profiles.Tasks
The main tasks include:- Overseeing the execution of existing consulting engagements and assisting with new business development and pitch materials
- Advice on the methodologies of the major rating agencies, including rating sensitivities and notching implications
- Overseeing the analysis of bank balance sheets, including asset quality, profitability, capital, debt, financing, and liquidity
- Leading capital and funding scenario analyses, including CET1, AT1, Tier 2, and MREL/TLAC impacts
- Preparation and review of materials for senior clients, briefing notes, and analytical memoranda
- Monitoring regulatory and credit rating agency developments and translating their implications into actionable client advice
- Execution of privately placed corporate financing transactions (DCM) for FOG clients, with a particular focus on senior unsecured and regulatory capital (Tier 2 and AT1) instruments
- Acting as an interface between the client, lead managers, and investors, delivering high-quality execution while managing the transaction
- Building relationships with the client's key stakeholders
- Building a brand profile and actively contributing to business development
Requirements
The requirements include:- Comprehensive understanding of bank balance sheets, P&L statements, asset risk, capital, financing, liquidity, and off-balance-sheet exposures
- Strong technical knowledge of regulatory capital metrics (CET1, Tier 1, total capital, leverage ratio, balance sheet exposures)
- 6–9 years of relevant experience in one or more of the following areas:
- Rating agency (bank ratings team), ideally with senior analytical responsibilities
- FIG Investment Banking, Capital Advisory Services, or Regulatory Capital Advisory Services
- Bank Treasury/Capital Management/ALM
- Direct experience covering banks at a rating agency or advising banks on their engagement with rating agencies
- Extensive knowledge of banking capital instruments, MREL/TLAC, AT1/Tier 2 issuances, and rating implications
- Experience in executing transactions involving these instruments
- Advanced financial modeling, Excel, and PowerPoint skills, with experience reviewing work done by junior staff
- In-depth knowledge of regulatory frameworks, capital instruments, and rating agency methodologies
- Ability to lead complex analyses, challenge assumptions, and translate findings into clear recommendations
- Structured thinking, quantitative rigor, and strong execution discipline
- Professional Judgment
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