Key Responsibilities: Responsible for Credit Research Analysis across Europe, the US and Asia Provide fundamental research for the global fixed income markets business, generating investment ideas that produce positive returns for the strategies Actively participate in Credit Investment Committees, including sector reviews and ESG reviews. Develop, upgrade and maintain tools that will help detect investment ideas and support investment decisions. Incorporate ESG analysis into your analytical process and overall investment thesis. Actively engage with and participate in strategy sessions to address credit trends, investment decisions and portfolio positioning. Key Requirements Degree level qualified with strong academics Strong knowledge of the fixed-income market and strong capability in fundamental credit research Experience in global coverage ideally across Europe, US and also Asia. A good working knowledge and ability to build and maintain detailed models to evaluate the creditworthiness of an issuer and price the relative value of its bonds, whilst factoring in ESG analysis. Working knowledge of covenants and capital structure analysis Good communication skills Team player, but can operate individually