Global Capital Markets Analyst Program – 2026 (“GCIB Analyst Program”)
Global Capital Markets Analyst Program – 2026
Job Description & Program Overview
Our Capital Markets business is focused on providing financial solutions across the capital structure and our Analyst program will offer you insight into this business. Your training and development is our top priority, with extensive formal training offered at the start of the program in addition to on the job support. Our capital markets business include Equity Capital Markets, Investment Grade Capital Markets, Leveraged Finance, Rates & Currencies Solutions, Debt Advisory Services, and Latin America Debt & Equity Capital Markets. We are looking to hire for our Sustainable Banking Solutions Group.
Sustainable Banking Solutions is integrated into the Debt Advisory platform within the Investment Grade Debt Capital Market franchise of GCIB. The Americas Debt Advisory and Sustainable Solutions team serves as a strategic, horizontal partner across the investment banking platform, providing industry-agnostic expertise on the most complex capital structure challenges facing corporate clients, sovereigns, financial sponsors, and creditors across the credit spectrum. The Sustainable Banking Solutions group provides deep expertise on ESG topics affecting clients funding needs, valuation, and strategic decisions. It offers a full spectrum of capital markets products and maintain seamless coordination with our Investment Banking, Corporate Banking and Capital Markets partners.
As an analyst, your key tasks and responsibilities may include but are not limited to:
- Performing comprehensive, in-depth research on companies, sectors, new issue market, general market conditions and institutional investors
- Prepare recommendations on timing, size and structure of transactions
- Work with various teams across the firm including Investment Banking and Global Markets
- Transaction execution and preparation of related documents
Qualifications
- 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 November 2025 and August 2026
- Must demonstrate a track record of superior performance in extracurricular and professional activities
- 3.5 minimum GPA preferred
- Must have a combination of strong quantitative/analytical skills, attention to detail and client focus
- 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 capital markets industry
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