
Eligibility Criteria
Graduates with a PostβGraduate degree (MBA or Masters) in Finance/Business Administration from a reputed institute, CFA charter holders, or Engineering graduates (including IIT) with a strong academic record (minimum 60% aggregate). Candidates should belong to the 2024β2027 batch, have no pending backlogs, and possess a valid work permit for India. Strong quantitative aptitude and excellent communication skills are mandatory.

Job Description & Key Responsibilities
Bank of America (BofA) is a global financial services powerhouse with a presence in more than 35 countries. In India, BofA operates across retail banking, wealth management, corporate banking and Global Business Services (GBS). The GBS arm, often referred to as BA Continuum, provides technology, operations and analytical capabilities to the bankβs various lines of business, enabling them to deliver innovative solutions to clients worldwide. BofAβs culture emphasizes diversity, continuous learning, and a commitment to responsible banking, making it a soughtβafter employer for ambitious graduates.
The Global Banking and Markets (GBM) divisionβs Coverage team works closely with investment bankers to originate deals, create pitchbooks, and perform rigorous financial analysis. As an Analyst in the GBS β R (Research) stream, you will be an individual contributor who supports the deal pipeline through deep industry research, financial modeling, and preparation of clientβfacing materials. This role is ideal for candidates with strong quantitative aptitude, a passion for finance, and the ability to translate complex data into clear insights.
**Key Responsibilities**
1. Conduct comprehensive company and industry research, gathering data from public filings, Bloomberg, and market reports.
2. Build, maintain and update detailed financial models for valuation, merger consequences, and scenario analysis.
3. Perform comparable company analysis (comps) and precedent transaction analysis to support deal justification.
4. Prepare highβimpact presentations, pitchbooks, and marketing memoranda for client meetings and internal review.
5. Draft credit approval memos and offering memoranda, ensuring compliance with internal policies.
6. Collaborate with senior bankers, product specialists, and legal teams to incorporate feedback and refine deliverables.
7. Monitor market news and macroβeconomic trends that could affect client portfolios or deal pipelines.
8. Assist in postβdeal integration activities, such as performance tracking and reporting.
9. Contribute to internal knowledgeβsharing platforms by documenting best practices and model templates.
10. Uphold data integrity, confidentiality, and adherence to regulatory standards.
**Tech Stack & Tools**: Advanced Excel (macros, VBA), PowerPoint, Bloomberg Terminal, FactSet, Capital IQ, SQL basics, and familiarity with Python/R for data manipulation is a plus.
**Growth Path**: Successful analysts can progress to Associate, then ViceβPresident within the GBM coverage team, with opportunities to rotate across product groups (e.g., M&A, Debt Capital Markets) or move into risk management and strategy roles.
**Why Join BofA**: The firm offers a structured learning environment, mentorship from senior bankers, and exposure to highβprofile transactions across sectors. Employees benefit from competitive compensation, robust training programs, and a culture that values diversity and workβlife balance. Joining BofA means being part of a global brand that invests in your professional growth while allowing you to make a tangible impact on the worldβs financial markets.