Job Description
The role reporting to the Senior Manager will have the following responsibilities:
- Provide analysis of sovereign risk with a focus on Emerging Markets (Latin America, Europe and Asia) Sovereigns
- Develop a strong understanding of countries' individual credit risks
- Prepare country reports and provide recommendations to portfolio managers
- Compliance with operational procedures and instructions
- Appropriateness of recommendations with clear demonstration of value preservation/enhancement
The Successful Applicant
The Ideal Candidate Will
- Have strong academic qualifications such as a master's degree in finance or a quantitative discipline
- Minimum 5 years relevant buy side experience, could be currently a Rates Analyst
- Knowledge of rating agencies methodologies
- Excellent verbal and written communication skills
- Ability to work independently and in a team