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Rates and Currencies Solutions Summer Analyst Program - 2025

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Bank of America

27d ago

💼 Graduate Job

San Francisco +3

AI generated summary

  • You need a Bachelor's degree, strong analytic skills, attention to detail, creativity, leadership, teamwork, quick learning ability, and dedication to finance. Excel and PowerPoint skills are a plus.
  • You will work closely with senior marketers to source, pitch, and execute risk management transactions, coordinate with partners, communicate with trading teams, prepare pitch materials, analyze risk, conduct research on FX and Rates markets, and develop risk management solutions.

Graduate Job

Banking & FinanceSan Francisco, Chicago, Charlotte, New York


  • Our Summer Analysts gain exposure to a wide spectrum of clients as well as a variety of products such as FX spot and forwards, FX/interest rate swaps and options. The wide range of client profiles and market/product knowledge obtained through our program provide our Summer Analysts flexibility to explore the best fit for their skills and goals.


  • Candidates must be pursuing a Bachelor’s degree or a Bachelor’s direct to Master’s degree from an accredited college or university with a graduation timeframe between December 2025 and June 2026
  • Must demonstrate a track record of superior performance in extracurricular and professional activities
  • Must have a combination of strong quantitative/analytical skills and attention to detail
  • Strategic and creative thinking; distinguished written and oral communications skills
  • Assertiveness, initiative, leadership, strong work ethic, team focus
  • Ability to learn quickly and take on new responsibilities
  • Dedication to building a career in the finance industry
  • Excel and PowerPoint skills strongly recommended

Education requirements


Area of Responsibilities

Banking & Finance


  • Analysts are active deal team members responsible for working closely with the senior marketers to source, pitch and execute various risk management transactions. Specific responsibilities include:
  • Coordinating with our partners in Banking and Markets to source new trades and opportunities
  • Communicating daily with Trading teams to price and structure various hedging strategies
  • Preparing client pitch materials
  • Preparing recommendations on timing, size and structure of transactions and managing derivative deal pipeline
  • Analyzing risk in the context of cross-border M&A and other event-driven strategic transactions
  • Performing comprehensive, in-depth research on FX and Rates markets, companies and market conditions
  • Reading company financial statements to develop risk management solutions


Work type

Full time

Work mode


Application deadline

Jul 2, 2024


San Francisco, Chicago, Charlotte, New York