BS158 - RATING ANALYST

S&p Global


About the Role We are seeking a highly skilled Rating Analyst to join our team working with Financial Institution issuers. As an individual contributor, you will build strong relationships with your issuers and the team under direct management. You will analyze routine and some non-routine analytical or business problems as directed; develop your own industry knowledge; and identify industry risk factors. Responsibilities and Impact You will have significant exposure in partnering with investors and issuers, including responding to questions and participating in meetings and on-site visits with debt issuers and their representatives in Colombia and Panama. Additionally, you will prepare materials for BRC Ratings, a Company of S&P; Global publication, and participate in ad hoc projects. Key Responsibilities: - Analyze the financial statements of medium-sized and/or complex issuer companies with support from the manager and senior analyst. - Conduct surveillance of rated debt issues and issuers' ratings, and may act as a primary analyst for less complex entities. - Demonstrate an understanding of rating principles, a working knowledge of BRC S&P; Ratings criteria, and contribute to researching criteria development needs. - Conduct the analysis of credit using BRC Ratings - S&P; Global's rating methodology and standards, Excel, financial models, financial data, and financial statement analysis. - Maintain a centralized source of news information, including digital media, and carry out research for monitoring the industry, including examining corporate or municipal financial information. - Support the team in spreadsheet and database development, maintenance, and analytics, which includes extracting financial and economic data from source materials and inputting into group/company applications and performing financial modeling. Requirements - A Bachelor's Degree in a related field of Finance, Accounting, or Economics. - Postgraduate studies in a business-related field such as economics, business, or financial engineering (and may be pursuing an advanced degree) are preferred. - At least 3 years of applicable work experience in market or credit risk analysis, FP&A; (Financial Planning & Analysis), Accounting, Investment, Economics, or other related fields. - Advanced skills with Microsoft Office tools (particularly advanced Excel skills) are required. - Must have strong communication (verbal and written) skills, and be bilingual in English and Spanish. - Familiarity with the market in Colombia is required. - Must be detail-oriented and organized. About S&P; Global Ratings At S&P; Global Ratings, our analyst-driven credit ratings, research, and sustainable finance opinions provide critical insights that are essential to translating complexity into clarity so market participants can uncover opportunities and make decisions with conviction. By bringing transparency to the market through high-quality independent opinions on creditworthiness, we enable growth across a wide variety of organizations, including businesses, governments, and institutions. S&P; Global Ratings is a division of S&P; Global (NYSE: SPGI). S&P; Global is the world's foremost provider of credit ratings, benchmarks, analytics, and workflow solutions in the global capital, commodity, and automotive markets. With every one of our offerings, we help many of the world's leading organizations navigate the economic landscape so they can plan for tomorrow, today. S&P; Global is an equal opportunity employer and all qualified candidates will receive consideration for employment without regard to race/ethnicity, color, religion, sex, sexual orientation, gender identity, national origin, age, disability, marital status, military veteran status, unemployment status, or any other status protected by law.

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