Responsibilities Provide fundamental coverage of European High Yield corporates, delivering investable ideas to fixed income portfolios. Perform deep credit analysis and relative value assessment at issuer and bond level. Build and maintain detailed financial models; analyse covenants, documentation and capital structures. Integrate ESG considerations into research and recommendations. Prioritise coverage within a broader sector universe in line with fund needs and market opportunities. Publish research notes internally and present high‑conviction views to portfolio managers. Partner with traders and quants to incorporate liquidity and quantitative insights. Lead issuer due diligence and management meetings; conduct primary and secondary research. Collaborate with equity research on cross‑asset insights and attend strategy discussions. Mentor research associates and coordinate with global colleagues; occasional travel. Requirements 5 years’ experience in credit research or investing; European High Yield exposure preferred. Strong track record in financial modelling and relative valuation for corporates. Deep understanding of fixed income instruments, documentation and liquidity across capital structures. Ability to incorporate ESG analysis into credit recommendations. Willing to cover telecoms within European HY; sector breadth welcome. Degree or equivalent; CFA charterholder (or progress) advantageous. Collaborative mindset and adaptable approach in fast‑moving markets.