Alantra is an independent global financial services firm that provides investment banking and asset management services to mid-market companies, families, and investors.
The Group has over 500 professionals in Europe, the U.S., Latin America, Asia, and the Middle East.In Financial Advisory, Alantra has completed over 1,000 transactions in the last five years.
Alantra combines a strong local presence in key financial centers with global sector- and product-specialized teams.In Alternative Asset Management, Alantra offers its clients unique access to a wide range of investment strategies in five highly specialized asset management classes (private equity, active funds, private debt, energy, and venture capital).
As of 31 December 2024, assets under management from consolidated and strategic businesses stood at more than €16.5bn.Job Description : Financial Institutions Group overview : Alantra's FIG is the leading advisor globally to financial institutions and sponsors in different types of transactions :
i) M&A,
ii) credit portfolio and
iii) Secured Funding and Asset Backed Securities (SFABS) deals.
We provide a full spectrum of services, usually under a single financial advisory mandate, covering all type of industries : Credit Portfolio : Leading sell-side advisor on the sale of distressed debt and performing loans to reduce exposure to certain sectors by both banks and non-banking financial institutionsStructuring of Asset Backed Securities ("ABS").
Structure loans backed by portfolios of either performing, and non-performing loans.
It also includes the structuring of unsecured loans and finally secured by real state assets that have been reposed by the lenders.
Our approach builds on a deep understanding of the underlying assets to be securitized (or funded) and market leading analytical capabilities gained as a leading credit portfolio advisor.M&A : Broad and full sector coverage with a proven track record of sell side and buy-side mandates for all financial institutions including banks, lending platforms, insurance companies, asset & wealth managers, servicers, fintech, and all FIG related companies.Job Description : Based in Mexico City, you will work in a highly entrepreneurial and inspiring environment and become an integral part of our FIG team in Madrid and London.The day-to-day tasks will include : Support in execution of active mandates : Preparation of marketing materials, gathering of information to create reliable data tapes, analyse the information included in these tapes to make a risk assessment, the valuation analysis of the portfolios, run sensitivity analysis on the portfolio data, manage highly intricated data bases (using SQL or other data management software) data-room management for potential investors, etc.Marketing initiatives : Market analyses of different industry FIG verticals, preparation of market, strategic and industry peer analysis in the FIG industry, detailed analysis of banks and financial institutions financial data, screening of potential FIG targets / buyers, prepare detailed valuations, etc.Analysts have direct exposure to all seniority levels internally, as well as direct client contact.
Alantra gives its Analysts significant responsibilities and is committed to their learning experience during their tenure with the firm with significant guidance from senior team members.
Exposure to Alantra's global platform will be provided and expected for the persons in the team.Requirements : Strong academic background and results.
Apply only if candidate has an actuarial, mathematics, economics or any engineering bachelor's degree.
Average of grades must be in the top 10% of the class.Only apply if degree was obtained from ITAM, Tec de Monterrey, Universidad Iberoamericana and Anahuac.At least 1 year of experience from a leading investment bank, large Mexican bank within the debt capital markets or investment banking advisory business or be part of the debt recovery team of debt structuring with loans as collateral, advisory boutique firms for structuring private debt, debt focused institutional funds, or private equity firms with a debt structuring arm.Experience in structuring of loan portfolios sales (both performing and non-performing).
Experience in working with debt services hired by investors to manage debt portfolios.Previous experience in Financial Institutions is highly valued and required to be considered a strong candidate.Excellent financial knowledge and understanding of financial statements for financial institutions as well as local / international capital markets.Highly resourceful in obtaining market information across all available platforms.Entrepreneurial spirit with the ability to contribute own ideas and work autonomously.Proficiency in the use of Excel, Power Point, Word, Outlook, Canva and any data base management systems.Capable of working under pressure and in a context of shifting priorities.Strong communication and presentation skills (verbal and written).
Attention to detail and be able to prepare to the point summarized self-standing documents.100% Proficiency (both written and spoken) in English and Spanish is a major requirement.Excellent business presence in terms of formal business attire.Flexibility for a day a week to work from home, subject of the existing workload.Application Details : Location : Mexico City (Torre Reforma, Av. Paseo de la Reforma No 483)Start date : October – November 2025.Opening date for applications : September 18th, 2025Closing date for applications : October 18th, 2025.
Analyst • Zacatecas, México