Analyst, Global Markets Corporate Banking
Listed on 2026-09-28
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Finance & Banking
Financial Analyst, Risk Manager/Analyst, Credit Analyst, Banking Analyst
Final date to receive applications:
Address:
151 W 42nd Street
Job Family Group:
Capital Mrkts Sales & Service
BMO Capital Markets is a leading, full-service financial services provider. We offer corporate and investment banking, treasury management, as well as research and advisory services to clients around the world. #bmocapitalmarkets
The Analyst will be part of Global Markets Corporate Banking team that is responsible for Account Management of the Hedge Funds client segment. The Analyst will support Account Management in making hedge fund credit recommendations, including due diligence and credit analysis on current and prospective clients. The Analyst will be responsible for a diversified set of Global Markets trading products to BMO Capital Markets hedge fund clients.
The Analyst will further support Account Management in a variety of other monitoring and portfolio management responsibilities.
Credit Risk and Financial Analysis
- Research and analyze financial and operating information relating to Hedge Funds and other asset managers.
- Prepare concise, accurate and well-reasoned written credit applications for both new and existing transactions for presentation to Credit; process the applications through BMO’s lending systems.
- Assess financial soundness of counter parties including hedge fund strategy, asset allocation, leverage levels, and access to liquidity and margin, among other fund characteristics.
- Complete internal risk ratings for Hedge Fund counter parties
- Coordinate and track monthly credit activities, including annual reviews, interim reviews, new deals, and monthly trigger/covenant monitoring.
- Support credit analysis across a range of financing products, including but not limited to repo, securities-based lending (SBL), total return swaps (TRS), and Prime Brokerage, and derivatives trading products, developing a strong foundation in hedge fund financing structures.
Account Management Support
- Support Account Managers in managing a diverse portfolio of Hedge Fund accounts. This includes:
- Preparing written credit reviews as noted above
- Participate in credit due diligence meetings / calls
- Continuous monitoring of limits and exposures as well as operating performance
- Monitoring Hedge Fund industry and regulatory updates
- Other portfolio management activities as required
- Provide analytical findings to Account Managers including input on credit risks and related mitigants.
- Expert knowledge of Bank policies and standards to ensure portfolio adheres to BMO’s policies and procedures.
- Support the review and coordination of trading and credit documentation (e.g., ISDA, GMRA) in partnership with Legal.
- Contribute to ad hoc credit activities related to the Hedge Funds portfolio.
- Support Global Markets areas on portfolio management needs and growth initiatives of the business.
- Partner with Sales, Trading, Credit Risk, Market Risk, Collateral Management, Legal, Client On-Boarding and AML/KYC in support of credit activities for the Hedge Funds portfolio.
Qualifications
- Undergraduate/MBA degree in finance, economics, or accounting with outstanding academic achievement.
- 0-2 years of relevant experience; internship experience in credit, markets, or hedge fund/asset management is a strong plus.
- Strong oral, written, and interpersonal skills, with the ability to collaborate effectively in a high-performing team environment.
- Excellent analytical and problem-solving skills in business, finance, and credit.
- Self-starter with strong attention to detail, able to manage multiple clients and tasks in an organized, timely manner under limited supervision.
- Proficiency with MS Excel is required; experience with Bloomberg is an asset. Use of AI tools (e.g., Copilot) to support research, analysis, and reporting is required as part…
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