Senior Credit Analyst , Fixed Income , CFA , Asset Management Senior Credit Analyst , Fixed Income , CFA , Asset  …

JJ Search
in London, England, United Kingdom
Permanent, Full time
Last application, 20 Feb 20
80-100K
JJ Search
in London, England, United Kingdom
Permanent, Full time
Last application, 20 Feb 20
80-100K
The Senior Credit Analyst will sit within the Fixed Income team, with a fully integrated process across all fixed income asset classes.

The Company:

An Asset Management firm providing private & institutional investors with customised investment, private banking & asset management services.

The Role:

The Senior Credit Analyst will sit within the Fixed Income team, with a fully integrated process across all fixed income asset classes.

The Asset Management firm run 1.5 billion AUM across these key products: Strategic Bond, High Yield, Short Duration, Emerging Markets and Multi Asset Credit.

The Global funds are managed as total return funds, so adding value through accurate and thorough credit analysis is vital.

The Senior Credit Analyst will be to provide fixed income and credit analysis / credit trade ideas on a range of sectors from investment grade, Emerging Markets and High Yield.

The Fixed Income Senior Credit Analyst will supply analysis and trade recommendations of bonds to add alpha to portfolios. Develop, refine and maintain complex financial models as well as covering investment grade developed markets through to High Yield and Emerging Markets credit work.

There will also be some client facing responsibilities including input into the top down meetings and ESG framework.

This role is suitable for a career Credit Analyst, passionate about Fixed Income Markets and Credit Analysis.

The Candidate

8 years career experience as a Credit Analyst / Fixed Income Analyst – having covered high yield and emerging markets. Investment Grade will also be considered.

Educated to degree level or relevant level experience.

CFA or equivalent qualification.

Strong financial modelling skills and ability to develop, refine and maintain complex financial models.

Ability to analyse companies across investment grade, high yield and emerging markets.

Capable of clearly communicating investment recommendations.

Previous client facing responsibilities along with other asset class experience – structured products, loans, distressed -  would be advantageous.

Strong team player, able to work under pressure.

Strong communication and interpersonal skills, capable of interacting with all levels.

Detail and accuracy focused.

Good presentation skills.

 

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