Responsibilities include developing and maintaining financial models, ideating investment recommendations, analyzing special situations such as mergers and acquisitions and other corporate actions, identifying opportunities and analyzing the fundamental credit positions of companies in both high yield and investment grade bonds, conducting credit, valuation, and industry analysis.
Strong educational background, ideally with advanced degree and/or CFA
3+ yrs IG/HY credit analysis experience, ideally on the buy side
Extensive experience conducting bottom-up financial analysis and modeling
Solid knowledge of financial accounting, forecasting, corporate capital structure
Exceptional analytical and problem-solving skills, applying them to various sectors and investment situations
Experience in analyzing large data sets
Ability to navigate and interpret cash flow, balance sheet, income statements and related
Knowledge of Python a plus.
This newly created position offers a great opportunity to work with a renowned fund and Portfolio Manager, offering highly competitive compensation package, great company culture, career advancement.