Opportunistic Credit - Investment Analyst
other jobs eFinancial Careers
Added before 3 hours
- England,London
- full-time
- Competitive salary
Job Description:
Job Responsibilities
*Develop comprehensive financial models to evaluate high-yield, stressed, and distressed credit opportunities across various sectors.
*Conduct detailed fundamental analysis based on financial statements, market research, and investor calls to produce accurate performance forecasts.
*Work alongside senior analysts to analyze capital structures, liquidity, and potential risks, contributing to robust investment theses.
*Contribute to the review of primary deals in loans, bonds, and hybrid instruments, completing thorough due diligence.
*Communicate analyses and recommendations effectively to senior partners and stakeholders.
*Support ongoing portfolio management by tracking and reviewing the performance of portfolio companies, identifying risks and opportunities that inform investment decisions.
Qualifications:
*Bachelor’s or master’s degree from a leading university or educational institution.
*Between 2 to 4 years of demonstrated experience in credit analysis, preferably in high-yield or distressed debt.
*Strong financial modelling skills and proficiency in analysing complex financial structures.
*Excellent communication and interpersonal abilities, capable of effectively presenting analysis and recommendations to team members and stakeholders.
*Self-motivated and driven; ability to work effectively in a collegial, fast moving, demanding, and dynamic environment.
*Develop comprehensive financial models to evaluate high-yield, stressed, and distressed credit opportunities across various sectors.
*Conduct detailed fundamental analysis based on financial statements, market research, and investor calls to produce accurate performance forecasts.
*Work alongside senior analysts to analyze capital structures, liquidity, and potential risks, contributing to robust investment theses.
*Contribute to the review of primary deals in loans, bonds, and hybrid instruments, completing thorough due diligence.
*Communicate analyses and recommendations effectively to senior partners and stakeholders.
*Support ongoing portfolio management by tracking and reviewing the performance of portfolio companies, identifying risks and opportunities that inform investment decisions.
Qualifications:
*Bachelor’s or master’s degree from a leading university or educational institution.
*Between 2 to 4 years of demonstrated experience in credit analysis, preferably in high-yield or distressed debt.
*Strong financial modelling skills and proficiency in analysing complex financial structures.
*Excellent communication and interpersonal abilities, capable of effectively presenting analysis and recommendations to team members and stakeholders.
*Self-motivated and driven; ability to work effectively in a collegial, fast moving, demanding, and dynamic environment.
Job number 1686936
metapel
Company Details:
eFinancial Careers
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