Our client is a highly reputable international fund currently expanding it's European Credit investment team in London. The team is seeking to add an investment professional with strong experience producing Long/Short investment ideas across investment grade, high-yield, stressed/distressed, special-situations, event-driven credits.
Responsibilities will include:
* In-depth analysis of investment grade, high yield, and stressed/event-driven credit across bonds, loans, CDS, convertibles, etc.
* Generating investment ideas on a sector agnostic basis
* Presenting trade ideas to portfolio management and senior analyst teams
* Execution and risk management of trades, portfolio construction and junior portfolio management responsibilities
* Leading the origination, execution and ongoing management of performing and liquid credit trades
* Further developing a network to source trade ideas - sales & trading teams, workout desks, restructuring advisors, lawyers, etc.
Candidates should have strong buy-side credit investment or research experience within a leveraged credit environment, with exposure to long/short credit strategies preferred. The ideal candidate will be at VP-level, but our client is happy to consider talented individuals either side of this level.
This is an excellent opportunity to join a large, successful global fund during a key growth phase during the second half of 2026.
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