外資系運用会社でのAnalyst, FIGの求人
求人ID:1380419
更新日:2025/01/16
転職求人情報
職種
Analyst, FIG
ポジション
担当者〜
年収イメージ
年収イメージ:〜1600万円(経験・能力を考慮の上当社規定により決定)
仕事内容
Department Profile:
The core focus of the role is to develop the company’s business with clients in the portfolio. The nature of FIG sector is such that both credit limits and operational funds flows are substantial, as are potential risks. Competition revolves around credit capacity, pricing, liquidity, product superiority and service quality. Clients maintain relationships with multiple banks which adds an additional pressure on marketing efforts. Delivery is made more difficult in Asia given the diversity arising from a lack of established market practices, system weaknesses, and relatively immature regulatory/legal environments.
Role Purpose:
Independently handle day-to-day relationship management and operational requirements of clients.
Approve (within delegated limits) or recommends for approval by higher authority, new facility proposals and reviews.
Ensure the Group’s exposure to risk within the client portfolio and associated systemic risks are appropriately monitored and controlled.
Provide direction and guidance to team members (including CMs / CAU) and work closely with FIG executives in the region and globally.
Develop and implement innovative financial and service solutions for the client portfolio through frequent coordination between the Group’s business units and subsidiaries.
Provide high quality management information to keep senior management briefed on high level issues and market trends.
Provide input to FIG management on opportunities for the company within the client portfolio.
Develop and coordinate relationships within the FIG segment with a view to
a) maximize revenues of our Group from these relationships,
b) increasing market penetration and share of wallet in the target sector(s).
The role covers client business in the Japan market, and could include regional coverage responsibility
Support Senior Coverage Banker / Head of FIG in covering larger and more complex FIG relationships.
The core focus of the role is to develop the company’s business with clients in the portfolio. The nature of FIG sector is such that both credit limits and operational funds flows are substantial, as are potential risks. Competition revolves around credit capacity, pricing, liquidity, product superiority and service quality. Clients maintain relationships with multiple banks which adds an additional pressure on marketing efforts. Delivery is made more difficult in Asia given the diversity arising from a lack of established market practices, system weaknesses, and relatively immature regulatory/legal environments.
Role Purpose:
Independently handle day-to-day relationship management and operational requirements of clients.
Approve (within delegated limits) or recommends for approval by higher authority, new facility proposals and reviews.
Ensure the Group’s exposure to risk within the client portfolio and associated systemic risks are appropriately monitored and controlled.
Provide direction and guidance to team members (including CMs / CAU) and work closely with FIG executives in the region and globally.
Develop and implement innovative financial and service solutions for the client portfolio through frequent coordination between the Group’s business units and subsidiaries.
Provide high quality management information to keep senior management briefed on high level issues and market trends.
Provide input to FIG management on opportunities for the company within the client portfolio.
Develop and coordinate relationships within the FIG segment with a view to
a) maximize revenues of our Group from these relationships,
b) increasing market penetration and share of wallet in the target sector(s).
The role covers client business in the Japan market, and could include regional coverage responsibility
Support Senior Coverage Banker / Head of FIG in covering larger and more complex FIG relationships.
必要スキル
Experience, Skills and Qualifications:
Knowledge of industry and exposure to Japan/Asian FIG market and regulatory environment
Proven record of proactively developing and originating client solutions.
Track record of building & developing long term relationships with clients.
Ability to develop a dialogue with the client on a multi-product basis.
Good understanding of risk management and risk mitigation.
Good understanding of the range of products offered by the Bank to FIG clients
Preferably knowledge of our Group and products, and a strong network of contacts across all business areas.
University graduate with over 5 years of relevant banking experience.
Business Japanese language skills required
Knowledge of industry and exposure to Japan/Asian FIG market and regulatory environment
Proven record of proactively developing and originating client solutions.
Track record of building & developing long term relationships with clients.
Ability to develop a dialogue with the client on a multi-product basis.
Good understanding of risk management and risk mitigation.
Good understanding of the range of products offered by the Bank to FIG clients
Preferably knowledge of our Group and products, and a strong network of contacts across all business areas.
University graduate with over 5 years of relevant banking experience.
Business Japanese language skills required
就業場所
就業形態
正社員
企業名
外資系アセットマネジメント会社
企業概要
外資系アセットマネジメント会社
企業PR
業務カテゴリ
組織カテゴリ
備考
応募ありがとうございました。コンサルタントからご連絡します
応募出来ませんでした。恐れ入りますがもう一度やり直してください
気になるに登録しました
気になるに登録出来ませんでした。恐れ入りますがもう一度やり直してください
バイサイドアナリストの求人情報
外資系金融機関の求人情報
銀行の求人情報
転職体験記
- 信託銀行から国内証券会社系投資運用会社へ(40代/女性/私立短期大学卒)
- 国内外の金融機関での経験を活かして、投信投資顧問へ(50代/男性/海外大学院卒)
- 損害保険会社から日系オルタナティブ運用会社へ(50代/男性/国立大学卒)
- 同業他社への転職、大手銀行へ(30代/男性/私立大学卒)
- 専門スキルを高めたいと考え、日系大手運用会社へ(30代/男性/私立大学卒)
- 証券会社、銀行での経験を活かして、国内証券会社系投資運用会社へ(30代/男性/国立大学卒)
- 初めての転職活動、経験を活かして日系大手グループの資産運用会社へ(30代/男性/国立大学卒)
- 学生時代から興味のある分野へ転職、独立系投信投資顧問へ(20代/男性/私立大学卒)
- スキルアップして2年振りの転職活動再開、日系大手銀行へ(30代/男性/国立大学卒)
- 経験を活かしてキャリアアップ、大手金融機関系運用会社へ(30代/男性/私立大学卒)