ECM Analyst - Hong Kong/Singapore

Balyasny Asset Management (BAM) is a global, multi-strategy investment Firm with over $21 billion in assets under management. We are a diversified business, with global breadth and depth. Our Firm has a clear mission: To consistently deliver uncorrelated returns in all market environments. Today, BAM employs more than 160 portfolio managers and 1,200 investment professionals across 19 offices in the U.S., Europe, the Middle East, and Asia. We are active across six investing strategies: Equities

Balyasny Asset Management LP - Hong Kong - Full time

Salary: Competitive

Balyasny Asset Management (BAM) is a global, multi-strategy investment Firm with over $21 billion in assets under management. We are a diversified business, with global breadth and depth. Our Firm has a clear mission: To consistently deliver uncorrelated returns in all market environments. Today, BAM employs more than 160 portfolio managers and 1,200 investment professionals across 19 offices in the U.S., Europe, the Middle East, and Asia. We are active across six investing strategies: Equities Long/Short, Equities Arbitrage, Macro, Commodities, Systematic, and Growth Equity. We also have a dedicated private investment team, BAM Elevate , and a standalone equities unit, Corbets Capital .

Role Overview

We are seeking an ECM Analyst to join our team. The responsibilities of this role include evaluating ECM investment opportunities and managing the internal distribution / communication with our internal PM teams.

Key Responsibilities
  • Internal Communication & Distribution: Act as the central point of contact for all ECM transactions, ensuring timely and accurate distribution of deal information, offering documents, and analysis to relevant PM teams.
  • Deal Coordination: Track and coordinate the firm's participation in IPOs, follow-ons and block trades. Maintaining a detailed database on deal flow and allocations.
  • Market Monitoring: Monitor ECM activity, lock-up schedules and market trends.
  • IPO evaluation: evaluate IPOs through hosting management meetings, analyzing sell side research, and reviewing offering documents.
  • Risk blocks evaluation: assist in evaluating, pricing and trading risk blocks.
  • Relationship Management: Interface with investment banks to obtain deal information and build partnerships.

Qualifications
  • 2-8 years of relevant experience (experience in equity capital markets preferred).
  • Strong organizational and communication skills, with the ability to manage multiple priorities and stakeholders.
  • High attention to detail and accuracy in information handling.
  • Interest in public equities and capital markets.
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