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Capital Structure Analyst Jobs (NOW HIRING)

Perform detailed financial modeling, capital structure analysis, and scenario testing for high-yield companies. * Monitor macroeconomic and industry trends and contribute to thematic research efforts ...

Own detailed capital structure models including debt tranches, PIK mechanics, interest expense ... Provide dedicated analytical support to the CFO on strategic finance topics including M&A ...

Optimize Libra's capital market stack via analyzing and proposing alternative structures to optimize short and long-term liquidity to meet the Company's growth expectations * Develop proficiency in ...

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Capital Structure Analyst information

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$35.5K

$99.2K

$127K

How much do capital structure analyst jobs pay per year?

As of Jun 13, 2026, the average yearly pay for capital structure analyst in the United States is $99,157.00, according to ZipRecruiter salary data. Most workers in this role earn between $72,000.00 and $126,500.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive as a Capital Structure Analyst, and why are they important?

To thrive as a Capital Structure Analyst, you need strong analytical skills, a deep understanding of corporate finance principles, and typically a degree in finance, economics, or a related field. Familiarity with financial modeling tools such as Excel, Bloomberg Terminal, and valuation software, as well as certifications like CFA, are highly valued. Exceptional attention to detail, critical thinking, and effective communication are vital soft skills in this role. These abilities are crucial for evaluating, optimizing, and communicating a company's capital structure to ensure financial health and support strategic decision-making.

What are the 5 types of capital?

In finance and corporate analysis, the five types of capital are equity capital, debt capital, working capital, human capital, and intellectual capital. A Capital Structure Analyst evaluates how a company funds its operations and growth through these different sources, often using financial modeling tools. Understanding these types helps in assessing a company's financial health and strategic options.

What is the definition of capital?

In the context of a Capital Structure Analyst, capital refers to the financial resources a company uses to fund its operations and growth, including debt and equity. Understanding the composition of capital helps analysts assess a company's financial health and leverage. Skills in financial modeling and knowledge of accounting are essential for analyzing capital structure.

What did capital mean?

In the context of a Capital Structure Analyst, 'capital' refers to the financial resources a company uses to fund its operations and growth, including debt and equity. Understanding capital is essential for analyzing a company's financial health and optimal funding strategies, often involving skills in financial modeling and analysis tools.

What is capital vs. capitol?

In finance and corporate roles like a Capital Structure Analyst, 'capital' refers to the funds a company uses to finance its operations, such as equity and debt. 'Capitol' is a building where government officials meet and has no relation to finance or corporate structures. Understanding the difference is important for analyzing a company's financial health versus government-related topics.

What does a Capital Structure Analyst do?

A Capital Structure Analyst evaluates a company's debt, equity, and other financing options to determine the most effective way to fund its operations and growth. They analyze balance sheets, assess risk factors, and provide recommendations on debt issuance, equity financing, and overall capital allocation. Their insights help ensure the company maintains financial stability while maximizing shareholder value. Capital Structure Analysts often work closely with finance teams, investment bankers, and executives to support strategic financial decisions.

What is the difference between Capital Structure Analyst vs Credit Analyst?

AspectCapital Structure AnalystCredit Analyst
Required CredentialsBachelor's degree in finance, accounting, or related field; certifications like CFABachelor's degree in finance, economics, or related; CFA often preferred
Work EnvironmentFinancial institutions, investment firms, corporate finance teamsBanks, credit rating agencies, financial institutions
Industry UsageFocuses on optimizing a company's debt and equity mixAssesses creditworthiness of borrowers and debt instruments

The main difference is that a Capital Structure Analyst concentrates on a company's debt and equity structure to optimize financial performance, while a Credit Analyst evaluates the credit risk of borrowers or debt instruments. Both roles require similar educational backgrounds and certifications but serve different functions within the financial industry.

What are some common challenges faced by Capital Structure Analysts when advising on optimal financing strategies?

Capital Structure Analysts often encounter challenges such as balancing the trade-offs between debt and equity financing, aligning strategies with the company's risk tolerance, and adapting recommendations to shifting market conditions. They must also navigate complex regulatory environments and ensure compliance with financial reporting standards. Effective collaboration with finance teams, legal advisors, and senior management is crucial to developing solutions that support both short-term liquidity and long-term growth objectives.
More about Capital Structure Analyst jobs
What cities are hiring for Capital Structure Analyst jobs? Cities with the most Capital Structure Analyst job openings:
What states have the most Capital Structure Analyst jobs? States with the most job openings for Capital Structure Analyst jobs include:
Treasury Director, Analysis & Capital Structure Modeling

Treasury Director, Analysis & Capital Structure Modeling

Aon Corporation

Chicago, IL • On-site

$150K - $190K/yr

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Posted 12 days ago


Aon rating

8.0

Company rating: 8.0 out of 10

Based on 55 frontline employees who took The Breakroom Quiz

73rd of 138 rated financial services


Job description

Aon is in the business of better decisions

At Aon, we shape decisions for the better to protect and enrich the lives of people around the world.

As an organization, we are united through trust as one inclusive team, and we are passionate about helping our colleagues and clients succeed.

The Treasury Director, Analysis & Capital Structure Modeling will be part of the company’s treasury and capital markets activities team and serve as a key strategic partner to the CFO. This leader will own financial modeling and scenario analysis to support strategic decision-making, including capital structure analysis.

The ideal candidate is a hands-on, meticulous treasury professional who is comfortable in the weeds of complex models, but can distill insights into simple, compelling presentations for senior leadership and the Board.

What the day will look like

Capital Markets & Corporate Finance

  • Support the CFO in evaluating and driving capital markets transactions (debt, equity, M&A, share repurchase, etc.).
  • Build and maintain optimal long-term capital structure plan
  • Conduct scenario analysis and sensitivity modeling (interest rates, FX, macroeconomic assumptions) to inform capital allocation decisions.
  • Partner with FP&A, Accounting, Tax, and Legal on financing strategies, M&A, and other strategic initiatives.

Financial Modeling & Scenario Analysis

  • Build and maintain robust financial and treasury models that support:
  • Capital structure planning
  • Liquidity stress scenarios
  • Interest rate and FX risk analysis
  • Strategic investments, M&A, divestitures and major transactions
  • Respond quickly to the CFO’s frequent and evolving modeling needs; test multiple scenarios and clearly communicate trade-offs and recommendations.
  • Translate complex analyses into clear insights and decision options for non-technical stakeholders.
Leadership Presentations & Stakeholder Communication
  • Prepare concise, visually clear PowerPoint presentations for:
  • Executive leadership meetings
  • Board of Directors updates
  • Present findings and recommendations to senior leadership, clearly articulating key assumptions, risks, and alternatives.
  • Influence cross-functional business partners using data-driven insights and thoughtful communication.
Skills and experience that will lead to success

Required

  • 8+ years of progressive treasury, capital markets, and/or corporate finance experience, preferably in a corporate environment (public company experience a plus).
  • Demonstrated experience working directly with a CFO and senior finance leadership, with a strong service mentality and responsiveness.
  • Advanced financial modeling skills in Excel (or similar tools), including scenario/sensitivity analysis and complex cash/capital structure models.
  • Deep knowledge of:
  • Corporate treasury
  • Capital markets instruments and structures
  • Corporate finance principles (WACC, valuation basics, capital allocation, leverage metrics)
  • Proven ability to present complex financial concepts in a simple, compelling way to executives and senior leadership.
  • Strong PowerPoint skills; able to build clean, executive-ready presentations with clear narratives and visuals.
  • Excellent communication and storytelling skills—written, verbal, and visual—tailored to senior team members.
  • Strong analytical and problem-solving abilities with a high attention to detail and accuracy.
  • Bachelor’s degree or equivalent experience in Finance, Accounting, Economics, or related field.
Preferred
  • Experience in professional services industry
  • Professional certifications (e.g., CTP, CFA, MBA) are a plus.
Personal Attributes
  • Highly responsive and comfortable with a CFO who deals with a steady flow of tight deadline modeling and scenario work.
  • Able to thrive in a fast-paced, dynamic environment with shifting priorities.
  • Low ego, high ownership; willing to roll up sleeves while also operating at a strategic level.
  • Strong business judgment and ability to balance risk and opportunity.
  • Collaborative, with the ability to build trust-based relationships across Finance, Legal, Tax, and the business.

For positions in San Francisco and Los Angeles, we will consider for employment qualified applicants with arrest and conviction record in accordance with local Fair Chance ordinances.

Aon is not accepting unsolicited resumes from search firms for this position. If you are a search firm, you will not be compensated in any way for your submission of a candidate, even if Aon hires that candidate.

Nothing in this job description restricts management's right to assign or reassign duties and responsibilities to this job at any time.

Pay Transparency Laws

The salary range for this position (intended for U.S. applicants) is $150,000 - $190,000 annually. The actual salary will vary based on applicant’s education, experience, skills, and abilities, as well as internal equity and alignment with market data.  The salary may also be adjusted based on applicant’s geographic location. 

The salary range reflected is based on a primary work location of New York, New York. The actual salary may vary for applicants in a different geographic location. 

This position is eligible to participate in one of Aon’s annual incentive plans to receive an annual discretionary bonus in addition to base salary.  The amount of any bonus varies and is subject to the terms and conditions of the applicable incentive plan.

Aon offers a comprehensive package of benefits for full-time and regular part-time colleagues, including, but not limited to: a 401(k) savings plan with employer contributions; an employee stock purchase plan; consideration for long-term incentive awards at Aon’s discretion; medical, dental and vision insurance, various types of leaves of absence, paid time off, including 12 paid holidays throughout the calendar year, 15 days of paid vacation per year, paid sick leave as provided under state and local paid sick leave laws, short-term disability and optional long-term disability, health savings account, health care and dependent care reimbursement accounts, employee and dependent life insurance and supplemental life and AD&D insurance; optional personal insurance policies, adoption assistance, tuition assistance, commuter benefits, and an employee assistance program that includes free counseling sessions.  Eligibility for benefits is governed by the applicable plan documents and policies.

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2026-100053Qualifications:UNAVAILABLEEducation:UNAVAILABLEEmployment Type: FULL_TIME

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About Aon

Sourced by ZipRecruiter

Aon plc (NYSE:AON) is a leading global professional services firm providing a broad range of risk, retirement and health solutions. Our 50,000 colleagues in 120 countries empower results for clients by using proprietary data and analytics to deliver insights that reduce volatility and improve performance.

Industry

Business management consulting

Company size

10,000+ Employees

Headquarters location

Chicago, IL, US

Year founded

1992