Responsibilities
:
1. Provide fundamental research, generating investment ideas and relative value analysis that produce positive returns for the strategies.
2. Actively participate in Credit Investmentmittees.
3. Keeping financial models up to date and updating the team after each earnings release.
Requirements:
4. 8+ years credit research experience with coverage of USpanies
5. Good working knowledge of global financial markets, sound analytical capabilities and relationship management strengths (to obtain information/ analysis from third parties).
6. Sector agnostic coverage across a range ofpanies preferred.
7. Rating agency background preferred.
The firm is offering a generous benefits package and has a very flexible work from home offering.
Location : London
: Up to £160k base + excellent bonus
Our client is unable to sponsor for this position.
"Please note, should you not be contacted within five working days of submitting your application, then unfortunately you have not been shortlisting for this position. We will, however, be in touch should there be any other opportunities of potential interest suiting to your skills."