Global Loan Portfolio Management Summer Analyst Program
WHAT YOU'LL DO
Our Global Markets business offers sales and trading services, including research, to institutional clients across fixed-income, credit, currency, and commodity and equity businesses. Global Markets' product coverage includes securities and derivative products in both the primary and secondary markets.
Our program includes formal training and assignments within the Global Loan Portfolio Management (GLPM) group, part of GBAM's FICC Trading business. It is a public-side trading desk tasked with managing the hedgeable portion of the Global Corporate & Investment Bank and Global Commercial Bank loan portfolios. Comprised of over 15 professionals in Charlotte and New York and organized along industry verticals, GLPM manages a nearly $120 billion loan portfolio through a combination of fundamental credit analysis and the determination of appropriate hedging strategies using credit derivatives and bonds.
This role would work with GLPM's senior portfolio managers and traders in Charlotte to help manage corporate loan exposure in one or more assigned industry verticals. This role would also work with GLPM's business partners in Global Loan Products, Global Risk, FICC Finance, and Global Research as well as with external trading desks and research teams.
Responsibilities for the role will include:
Bank of America is one of the world's largest financial institutions, serving individuals, small- and middle-market businesses and large corporations with a full range of banking, investing, asset management and other financial and risk management products and services. The company serves approximately 56 million U.S. consumer and small business relationships. It is among the world's leading wealth management companies and is a global leader in corporate and investment banking and trading.