Risk & Structuring Analyst
Listed on 2026-02-07
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Finance & Banking
Corporate Finance, Financial Analyst, Risk Manager/Analyst
Location: New York, NY (Hybrid)
Employment Type: Full-Time
Industry: Investment Banking / Financial Services
Experience Level: Analyst / Early Career
Compensation: Competitive base salary + performance bonus (varies by employer)
This posting represents the type of Risk & Structuring Analyst roles featured within the Career Launch AI Private Job Board. It is not a direct job opening with a specific employer.
Members of the Career Launch AI platform gain access to exclusive finance, consulting, and technology opportunities that may not appear on public job boards. This description reflects a typical early-career investment banking role focused on risk analysis, structured transactions, and deal structuring.
More information is available .
RepresentativeRole Overview
A leading middle-market investment bank or advisory team may seek a Risk & Structuring Analyst to support transaction structuring, risk assessment, and financial modeling for M&A, capital markets, and complex financing transactions. These roles are ideal for candidates interested in combining quantitative analysis, risk management, and deal execution.
Key ResponsibilitiesBuild and maintain financial models to evaluate transaction structures, risk exposures, and financing alternatives
Conduct risk analysis including market, credit, operational, and regulatory considerations
Support structuring of M&A, debt, and capital markets transactions with scenario and sensitivity analyses
Prepare reports, pitch books, and presentations highlighting risk-adjusted returns and structuring recommendations
Assist with due diligence, data analysis, and review of legal and financial documentation
Collaborate with senior bankers and cross-functional teams to design optimal capital structures and mitigate risks
Monitor portfolio and transaction performance relative to risk assumptions and projections
Desired QualificationsBachelor’s degree in Finance, Economics, Accounting, Mathematics, Engineering, or a related discipline
Strong skills in financial modeling, risk analysis, and transaction structuring
Excellent analytical, quantitative, and communication abilities
Ability to manage multiple work streams and deliver under tight deadlines in a fast-paced environment
High attention to detail and strong organizational skills
Prior internship or full-time experience in investment banking, structured finance, corporate finance, risk management, or consulting is beneficial
Proficiency in Excel, PowerPoint, and financial modeling/risk tools; experience with VBA, Python, or other analytical software is a plus
Why This Posting MattersThis Risk & Structuring Analyst description reflects opportunities available exclusively to Career Launch AI members, including:
Roles shared directly with Career Launch AI by employers
Opportunities not posted publicly
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Interview coaching and preparation
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AI-powered job application automation
Warm introductions to decision-makers
Sector-specific resume optimization
Interview preparation and ongoing support
This posting is an example of the types of positions members may pursue through the platform.
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