Company | McGraw Hill Finance |
Industry | Finance |
Location | Singapore |
Position Type | Graduate Program |
Post Date | 24 August 2015 |
Closing Date | 20 September 2015 |
Employer Description
McGraw Hill Financial is a leader in credit ratings, benchmarks and analytics for the global capital and commodity markets. MHFI includes Standard & Poor's Ratings Services, S&P Capital IQ, S&P Dow Jones Indices, J.D. Power, Platts, and McGraw Hill Construction.
The program begins with a comprehensive four-week training course in New York focusing on a variety of areas, including: Accounting, Ratings Methodology, Risk & Compliance, Capital Markets, etc. Participants will continue with additional training throughout the remainder of the program. They will also be required to successfully complete required certifications exams during the program and pass a rigorous evaluation process.
Responsibilities
The S&P Credit Ratings Excellence Development (CRED) Program is a three-year training development program commencing in August 2016.
Demonstrates an understanding of rating principles and methodology; has a working knowledge of S&P Rating’s criteria and aids in researching criteria development needs.
Contributes to the analysis of credit using S&P rating methodology and standards, financial models, financial data, and financial statement analysis, ultimately producing ratings recommendations.
Takes responsibility for performing variance analysis and interpretation of results.
Aid in identifying market trends, client developments and client’s financial projections.
Coordinates with global & regional offices to ensure data is treated consistently across international borders and available to S&P's global network.
Carries out research for industry monitoring including examining corporate or municipal financial information.
Prepares and submits detailed reports and summaries incorporating information required for evaluation by the rating committee. Participates in rating committee meetings as assigned.
Provides analytical support on a portfolio of credits under the guidance of a lead analyst.
Qualifications
- Completion of Bachelor's / Master's degree by May 2016 within Finance, Economics, Accounting, Engineering, Mathematics, or a related business/quantitative discipline
- Learning agility, Creativity, and Problem-solving ability
- GPA equivalent to 3.0 or 2:1 degree & above
- Strong verbal & written communication skills
- The ability and the desire to learn to conduct analysis and research
- The ability to work in a deal-driven, collaborative work environment is required
- Interpreting financial statements and writing reports in Chinese hence proficiency in Chinese is a must
Application link
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