At a Glance
- Tasks: Support bond transactions and collaborate with top-tier corporate clients in a dynamic environment.
- Company: Join BBVA, a global leader in finance with a rich history and diverse teams.
- Benefits: Gain hands-on experience, professional growth, and exposure to innovative financial technologies.
- Other info: Full-time internship in London with excellent networking opportunities and career development.
- Why this job: Kickstart your career in Investment Banking and make an impact in the Debt Capital Markets.
- Qualifications: Current student in Finance or related field with strong analytical and tech skills.
The predicted salary is between 22500 - 27500 £ per year.
BBVA is a global company with more than 160 years of history that operates in more than 25 countries where we serve more than 80 million customers. We are more than 121,000 professionals working in multidisciplinary teams with profiles as diverse as financiers, legal experts, data scientists, developers, engineers and designers.
The Corporate Debt Capital Markets (DCM) team within BBVA CIB London forms part of the Credit Europe Developed Markets franchise, advising top-tier European corporations on structuring, originating, and executing primary bond issuances. Operating as a core front-office hub in London, the team connects corporate issuers across developed markets with global institutional investors to meet their strategic funding needs.
Working seamlessly alongside Syndicate, Coverage, and Sales & Trading, the franchise delivers bespoke debt financing solutions in a fast-paced, collaborative environment that actively combines deep capital markets expertise with modern technology, data analytics, and AI-driven innovation.
**About the job:**
Are you looking to kickstart your career in Investment Banking and financial markets? Join our Corporate Debt Capital Markets (DCM) team within the Credit Europe Developed Markets division in London. You will closely support the team in the origination and execution of bond transactions for major corporate clients, gaining unique, hands-on exposure to a pan-European franchise and learning how different areas of an investment bank work together on high-profile transactions.
**What You Will Do**
- Origination & Execution Support: Assist in the preparation of client presentations, pitches, and financing proposals, including the analysis of funding alternatives and capital structure considerations.
- Market & Financial Analysis: Support the team by analysing clients’ financial profiles, credit metrics, liquidity, and debt maturity schedules, while monitoring primary and secondary markets, interest rates, and investor activity.
- Pricing & Valuation Assistance: Help perform relative value, pricing, and comparable issuer analyses to support strategic recommendations on transaction structure, timing, and tenor.
- Tech & Process Optimization: Proactively use AI, coding, and automation tools to streamline recurring processes, improve data analysis, and develop internal financial/market models.
- Cross-functional Collaboration: Support senior team members in day-to-day activities and ad hoc sector analyses, collaborating across Syndicate, Sales & Trading, Coverage, and Ratings Advisory teams during live executions.
**What We Are Looking For**
- Education: Current Bachelor's or Master's student in Finance, Economics, Business Administration, Engineering, or a highly quantitative field. A strong interest in pursuing a career in Debt Capital Markets, Investment Banking, and/or Corporate Finance is essential.
- Languages: Fluent English is mandatory. Knowledge of Italian and Spanish language skills is highly valued.
- Key Competencies: Strong analytical and problem-solving skills, combined with attention to detail and intellectual curiosity. We are looking for proactive, autonomous, and solution-oriented individuals with a commercial mindset. You must have strong organisational skills to manage multiple priorities under tight deadlines, alongside a high level of ownership, reliability, and teamwork.
- Tech Savvy: Advanced proficiency in Excel and PowerPoint. Strong interest and practical experience in AI tools and coding (e.g., Python, VBA, or similar) to automate workflows and build analytical models. Familiarity with Bloomberg, Capital IQ, Dealogic, or other financial databases is a strong advantage.
**What You Will Gain**
- DCM & Corporate Finance Expertise: Develop a practical understanding of bond valuation, credit spreads, new issue premiums, and the critical role of debt markets within a company’s overall funding strategy.
- Professional Growth & Networking: Gain broad exposure to the end-to-end DCM process—from initial client discussions to pricing and execution—working closely with senior bankers in a fast-paced, international environment.
- Tech-Driven Innovation: Hands-on experience applying technology and AI to real-world financial analysis, empowering you to challenge existing ways of working and propose more efficient solutions.
**Important Requirements**
- Availability: This is a full-time, off-cycle internship position from October 2026 - October 2027. Please only apply if you can commit to the full duration.
- Location: London.
- Right to Work: Applicants must possess UK Citizenship or a valid Right to Work (RTW) in the UK. Proof of eligibility will be required during the recruitment process.
Corporate Debt Capital Markets (DCM) Internship employer: Bbva Sa
BBVA is an exceptional employer that fosters a dynamic and inclusive work culture, where over 121,000 professionals collaborate across diverse teams in London. As a Market Risk Analyst in the GMRU team, you will benefit from extensive employee growth opportunities, cutting-edge technology, and a commitment to work-life balance, all while contributing to innovative financial solutions that support sustainable development. Join us to be part of a pioneering organisation that values your contributions and encourages you to shape the future of banking.
StudySmarter Expert Advice🤫
We think this is how you could land Corporate Debt Capital Markets (DCM) Internship
✨Join Investment Clubs
Get involved in university investment clubs or finance societies. Not only will this boost your knowledge, but it’s a great way to network with like-minded peers, and sometimes they even bring in guest speakers from top firms. Plus, potential connections could keep you in the loop for internship openings!
✨Attend Financial Conferences
Keep an eye out for finance and investment conferences happening near you. These can be goldmines for internships, as many companies announce opportunities or give out networking leads at these events. Don’t forget to bring your A-game – dress smart and have your pitch ready!
✨Utilise Your University Resources
Most universities have career services specifically tailored to finance students. Take advantage of those workshops, CV reviews, and mock interviews they offer. They often have exclusive access to internship opportunities and can help you connect with alumni in asset management roles as well.
✨Dive into Relevant Projects
If you’ve got the chance, work on finance-related projects, even if they’re academic. Whether it's analysing stocks or creating mock portfolios, showcasing these on your LinkedIn or personal website can set you apart. It demonstrates initiative and gives you something to discuss during interviews!
We think you need these skills to ace Corporate Debt Capital Markets (DCM) Internship
Some tips for your application 🫡
Highlight Your Analytical Skills:In the asset management game, analytical prowess is key. Make sure to showcase relevant coursework or projects where you've demonstrated skills in financial analysis or investment strategies. Numbers tell a story, so use metrics where possible to show your impact!
Tailor Your CV to the Investment Sector:Your CV should speak the language of investment. Use keywords related to asset management, such as portfolio analysis, performance measurement, and market research. If you’ve got any certifications or relevant coursework, pop them front and centre—it shows your commitment to learning!
Craft a Motivating Cover Letter:This is your chance to shine! Explain why you’re passionate about asset management and why you want to intern at Bbva Sa specifically. We want to see your enthusiasm and your understanding of the industry, so don't be shy about expressing your learning goals.
Showcase Relevant Projects or Experience:If you've done any investment simulations, case studies, or even related internships, be sure to include these! Provide concrete examples of your roles and their outcomes, as they give us insight into how you think and approach problems in the field.
How to prepare for a job interview at Bbva Sa
✨Know Your Numbers
Get comfy with financial metrics and concepts relevant to investment and asset management. Brush up on key ratios, portfolio theory, and market indicators, as interviewers might throw in some technical questions to see how you think on your feet and apply these concepts in real scenarios.
✨Show Your Passion for the Market
Make sure to stay updated on current market trends and news in the investment world. Bring specific examples of how recent events have impacted asset management strategies to the interview; this demonstrates not just your knowledge, but also your genuine interest in the field and your enthusiasm for investment analysis.
✨Prepare for Case Study Challenges
Be ready for case study exercises that simulate real-world investment scenarios. Practise analysing a given portfolio, identifying risks, and suggesting improvements. This practical experience will showcase your analytical skills and how you approach problem-solving in investment contexts.
✨Focus on Learning Potential
Since this is an internship, highlight your eagerness to learn and adapt. Talk about specific skills or knowledge areas you hope to develop during your time at Bbva Sa. Showing that you're keen to grow will resonate well, as internships are often about fostering new talent for the future!