4 years of experience must include: Corporate Finance; Credit Risk Analysis; Credit risk management and approval process; Corporate and Bank accounting, derivatives accounting; Corporate valuation and financial modelling; Public sector specific metrics (deficit, indebtedness, debt ceilings, among others); Bloomberg, PowerPoint, Excel; Structured financing and investment solutions; Derivatives solutions for risk management; Financial Engineering; Liability Management; Tools for derivatives pricing, stress-testing and counterparty credit risk simulations; and Relationship management. Requirements: Requires a Bachelor's degree, or foreign equivalent, in Finance, Business, Economics, Mathematics or related field and 4 years of progressively responsible, post-baccalaureate experience as a Corporate Banking Associate, Corporate Banking Analyst, Corporate Salesperson, Structurer, Trader or related position involving working on episodic structured solutions in a global bank for clients in LATAM.