Job Description
The role reporting to Senior Manager has the following responsibilities:
- Fundamental research analysis on new ideas and existing portfolio positions within the Financial Services, Banks, Real Estate and Utilities across Investment Grade and High Yield in the US
- Create financial models for credit reports and analyse documents
- Actively participate in the investment process
- Develop relationships with management teams and sell-side institutions as part of monitoring portfolio companies
- Assist in portfolio management and maintenance of investments
The Successful Applicant
The Ideal Candidate Will
- Strong academic qualifications with atleast a bachelor's degree from an international university
- At least 7 years' of experience in corporate credit analysis (ideally buy side) within the US Financial Services and/or US Banks and/or US Real Estate and/or US Utilities sectors across Investment Grade/High Yield or both
- Experience in portfolio management and/or trading within Investment Grade or High Yield would be beneficial
- Excellent research, communication, financial modeling, analytical and valuation skills
- Have a track record of academic achievement and professional advancement