Financing & Risk Solutions Associate, Debt Capital Market

Posted:
2/8/2026, 12:31:11 PM

Location(s):
Haryana, India ⋅ Gurgaon, Haryana, India

Experience Level(s):
Junior ⋅ Mid Level ⋅ Senior

Field(s):
Sales & Account Management

Join us as a Financing & Risk Solutions Associate, Debt Capital Market

  • In this crucial role, you’ll work with global debt capital markets desks stakeholders based out of London, Paris and Amsterdam tracking UK and European credit and rates market and preparing client materials for origination purposes
  • We’ll look to you to support senior originators in building and maintaining the business with target client base
  • This is a fantastic opportunity to hone your skills since you will be developing domain expertise domain expertise supported through trainings, self-development and client exposure

What you'll do

As a Financing & Risk Solutions Associate, you will be collaborating and partnering with the desk hubs in preparing and pitching origination content to get mandates and ensuring smooth execution of bond transactions that are in line with the bank’s policies covering conduct, operational, credit, and regulatory risks.

You’ll be preparing, pitching materials, market update and analysis, term sheets, post-transaction reviews and other documentation to support origination activities. You’ll also be assisting with client deep dives, navigating the sales coverage teams and gathering feedback from internal client touchpoints.

Your day-to-day activities will be:

  • Preparing pitch-books including investor presentations, analysing market dynamics, identifying market trends, generating trade ideas and other marketing materials
  • Working on RFPs with the aim to win mandates
  • Tracking UK and European markets and preparing market update slides and doing bond pricings for our clients
  • Writing weekly market commentary for circulation to clients, updating and maintaining internal databases such as transaction issuance, investor order books, pricing analysis, deal reviews
  • Analysing key financials and preparing peer comparison tables, including spreads and yield analysis and generating trade ideas and identifying arbitrage opportunities

The skills you'll need

To succeed in this role, you’ll need to hold an MBA in Finance or a CA, CFA, FRM qualification. You’ll have working knowledge of financial databases like Bloomberg in fixed income related functions, Factset and Dealogic, along with an excellent understanding of financial statements, fixed income products knowledge, bond market fundamentals and overall financial markets .

Additionally, it will be an advantage if you have already worked in UK, US and Eurpoean markets and hold corporate finance or debt capital markets experience, along with knowledge of various debt products and markets.

You’ll also demonstrate:

  • Advanced power point and excel skills with experience with Pivots, vlookup, hlookup, index match and other advance excel formulas
  • Investment grade credit market experience within Europe, UK, and US or any understanding of pricing investment grade bonds would be add on but not mandatory
  • Experience of working in fixed income, investment banking or credit research analytics function supporting a debt business
  • Knowledge of investment banking and credit related products
  • Strong knowledge of ratio analysis, key drivers for various sectors, pitch books and basic financial modelling
  • Strong communication and interpersonal skills with the ability to build relationship with key stakeholders
  • VBA / Python experience will be preferred
  • Excellent analytical and numerical skills as well as strong problem solving and logical thinking skills

Hours

45

Job Posting Closing Date:

16/02/2026