
Senior Research Analyst
Wilmington, DEJob$128–214K/yrSeen 1 day agoSeen in employer's feed 1 day ago
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Requirements
Credentials this posting asks for.
Job overview
The Senior Research Analyst identifies and defends investments and implementation vehicles to improve client portfolio outcomes. The role conducts fundamental credit analysis and relative value assessments, develops investment ideas, and supports portfolio decisions. It also analyzes portfolio risks and performance, collaborates with client-facing colleagues, participates in client meetings, and manages research work allocated to less experienced teammates.
Skills & qualifications
Skills
Qualifications
Full job description
Overview:
Identifies, recommends and defends individual investments and/or implementation vehicles to improve portfolio outcomes for clients. Conducts deep fundamental credit analysis and relative value assessment to support portfolio decision-making.
Primary Responsibilities:
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Develop new and innovative investment ideas based on fundamental and relative value analysis.
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Conduct fundamental analysis of individual companies including analyzing financial statements, credit ratings, and industry trends.
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Build and maintain independent financial models and perform in-depth credit reviews for issuers under coverage.
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Recommend buy, hold and sell decisions based on fundamental credit analysis and relative value evaluation.
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Collaborate with client-facing colleagues to strengthen their understanding of investment solutions.
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Participate in client and prospect meetings to help solidify current relationships and to develop new business.
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Analyze portfolio risks, exposures and performance drivers.
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Manage and allocate research work to less experienced teammates.
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Prepare documentation to communicate portfolio performance, investment options, risks and pending decisions.
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Conduct regular meetings and calls to discuss organizational developments, investment strategy and performance/risk.
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Understand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Identify risk-related issues needing escalation to management.
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Promote an environment that supports belonging and reflects the M&T Bank brand.
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Maintain M&T internal control standards, including timely implementation of internal and external audit points together with any issues raised by external regulators as applicable.
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Complete other related duties as assigned.
Education and Experience Required:
Bachelor’s degree and a minimum of 7 years’ relevant experience,
Strong understanding of capital markets and current knowledge of the state of the industry
Excellent written and presentation skills
Proficient with common industry tools, including Bloomberg, Excel, FactSet and Morningstar Direct
Highly analytical, research-driven skill set
Prior experience communicating insights to internal and external stakeholders
Education and Experience Preferred:
Master Degree and minimum of 10 years’ relevant experience
CFA, progress toward obtaining CFA designation
Advanced Degree
Network of industry contacts
Experience mentoring and developing junior teammates
Experience working with large datasets, analytical tools, or evolving research technologies (e.g., quantitative platforms or AI-enabled workflows)
#LI-LA1
M&T Bank is committed to fair, competitive, and market-informed pay for our employees. The pay range for this position is $128,100.00 - $213,500.00 Annual (USD). The successful candidate’s particular combination of knowledge, skills, and experience will inform their specific compensation.
Location:
Wilmington, Delaware, United States of America
M&T Bank Corporation is an Equal Opportunity/Affirmative Action Employer, including disabilities and veterans.
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