Capital Markets Funding - Senior Analyst
Listed on 2026-07-30
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Finance & Banking
Capital Markets, Financial Analyst
General information
# 22478
Remote? No
Ally and Your CareerAlly Financial only succeeds when its people do - and that’s more than some cliché people put on job postings. We live this stuff! We see our people as, well, people - with interests, families, friends, dreams, and causes that are all important to them. Our focus is on the health and safety of our teammates as well as work‑life balance and diversity and inclusion.
From generous benefits to a variety of employee resource groups, we strive to build paths that encourage employees to stretch themselves professionally. We want to help you grow, develop, and learn new things. You’re constantly evolving, so shouldn’t your opportunities be, too?
Ally is seeking a Senior Analyst to join the Capital Markets Funding team in a high-profile, dynamic, and markets-facing role. Reporting to the Director of Capital Markets Funding, this position sits at the center of Ally’s balance sheet strategy, with exposure to unsecured & secured transactions, equity buybacks, fixed income investor marketing, and strategic financing initiatives. This role is best suited for someone who values real-time collaboration, market connectivity, and direct exposure to senior leaders and external partners.
The Senior Analyst will help manage key external relationships with investment banks, rating agencies, investors along with cross collaboration with Treasury, Finance, Risk, Legal, Accounting, and business verticals internally. This is a highly visible role for someone who wants to build a broad understanding of bank funding, capital markets, corporate finance, and balance sheet management in a fast‑paced, execution‑driven environment.
At this time, Ally will not sponsor a new applicant for employment authorization for this position.
The Work Itself- Support Ally’s unsecured and secured funding programs, including corporate debt / capital issuances, cash securitizations, credit linked notes.
- Monitor capital markets activity, funding levels, investor sentiment, peer issuance, and rating agency developments to help inform funding and capital decisions.
- Partner with investment banks, rating agencies, investors, legal counsel, and internal stakeholders to support execution and relationship management.
- Maintain and improve daily market color commentary, primary/secondary metric dashboards, models, and reporting tools related to funding, capital, liquidity, and market activity.
- Support share buyback execution, and capital related ad hoc analysis for senior management.
- Exposure to a dynamic, markets-facing work environment with cross‑collaboration across internal teams and external partners.
- Support strategic financing initiatives and special projects across Treasury and the broader CFO organization.
- Synthesize market data and produce quality materials for senior management, internal committees, rating agencies, and external partners meetings.
- Assist in fixed income investor efforts across material production and preparation.
- Identify opportunities to use automation and AI‑enabled tools to improve team efficiency.
Minimum Qualifications
- 3+ years of experience
- High school Diploma or GED equivalent
Preferred Qualifications
- Bachelor’s degree in Finance, Economics, Accounting, Business, or a related field.
- 3+ years of experience in investment banking, capital markets, corporate treasury, financial planning and analysis, fixed income, or a related finance role.
- Prior capital markets experience strongly preferred.
- Strong analytical skills with the ability to synthesize market data, financial statements, transaction information, and market developments.
- Excellent attention to detail and ownership mindset.
- Comfortable operating in a fast‑paced, markets‑driven environment where business priorities can shift quickly.
- Strong written and verbal communication skills, including the ability to create clear, polished materials for senior audiences.
- Ability to manage multiple priorities, meet deadlines, and collaborate effectively across internal and external stakeholders.
- Strong Excel and PowerPoint skills; experience with Bloomberg is a plus.
- Interest in bank balance sheets, funding…
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