Mid-Senior levelPosted April 4, 20262 variantsJob link
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Responsibilities
Responsibilities
Conduct fundamental credit analysis with emphasis on financial modeling to identify profitable corporate bonds for the portfolio.
Create in-depth earnings reports including financial projections, credit valuation and recommendations based on expected performance.
Present detailed and persuasive company reports to PMs reviewing potential investment ideas; consult with management on proposed investment ideas and strategies.
Liaise with industry sources to capture and develop new investment ideas; pro-actively to secondary audience abroad.
Not Met Priorities
What still needs stronger evidence
Requirements
3+ years of experience in credit analysis, fixed income and fund investing with an understanding of the wider financial environment; both buy-side and sell-side corporation experience are welcome.
Company research, asset valuation and relative value analysis capabilities required.
Outstanding analytical, financial modeling, written and verbal communication skills; ability to persuasively present recommendations of profitable investment ideas.
Preferred Skills
MBA and/or CFA designation preferred.
Outstanding analytical, financial modeling, written and verbal communication skills; ability to persuasively present recommendations of profitable investment ideas.
Education
(Not required)
– Bachelor’s degree in Finance, Accounting, Economics or equivalent concentration;
(Not required)
– MBA and/or CFA designation preferred.
Responsibilities: Conduct fundamental credit analysis with emphasis on financial modeling to identify profitable corporate bonds for the portfolio. Create in-depth earnings reports including financial projections, credit valuation and recommendations based on expected performance. Present detailed and persuasive company reports to PMs reviewing potential investment ideas; consult with management on proposed investment ideas and strategies. Liaise with industry sources to capture and develop new investment ideas; pro-actively to secondary audience abroad. Qualifications: Bachelor’s degree in Finance, Accounting, Economics or equivalent concentration; MBA and/or CFA designation preferred. 3+ years of experience in credit analysis, fixed income and fund investing with an understanding of the wider financial environment; both buy-side and sell-side corporation experience are welcome. Company research, asset valuation and relative value analysis capabilities required. Outstanding analytical, financial modeling, written and verbal communication skills; ability to persuasively present recommendations of profitable investment ideas.