European IG Credit Analyst - Boutique Asset Manager, London
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Added before 8 hours
- England,London,City of London
- Full Time, Permanent
- Competitive salary
Job Description:
Full job description Octavius Finance, a specialist recruiter within financial markets, is partnering with a leading boutique asset manager to identify a European Investment Grade Credit Analyst to join its established investment platform.
The successful candidate will join a collaborative credit investment team responsible for analysing high-quality European corporate issuers and supporting the management of investment grade portfolios. The role provides exposure to bottom-up fundamental research, relative value assessment and the broader portfolio management process, working alongside experienced investors within a highly regarded asset management business.
This is an excellent opportunity for an ambitious credit analyst to further develop their expertise within a specialist investment environment. The successful candidate will gain exposure to a diverse range of sectors, issuers and market themes while contributing directly to the investment process.
The position also offers a clearly defined pathway towards a senior investment role, with the potential to progress into a portfolio management position over time.
Key Responsibilities
*Performing detailed fundamental credit analysis on European investment grade corporate issuers.
*Assessing company financials, business models, industry dynamics and key credit risks.
*Identifying relative value opportunities and contributing to investment recommendations.
*Supporting Portfolio Managers with research, idea generation and portfolio discussions.
*Monitoring existing holdings and providing ongoing analysis of credit developments and market trends.
*Developing financial models and maintaining detailed issuer research.
*Producing credit research notes, sector reviews and investment materials.
*Collaborating with the wider investment team to support portfolio management activities.
Requirements
*~3-8 years’ experience within investment grade credit research, ideally gained on the buy-side.
*Strong knowledge of corporate credit markets and fundamental investment analysis.
*Experience assessing corporate issuers, financial statements and credit fundamentals.
*Strong analytical skills with the ability to form independent investment views.
*Excellent written and verbal communication skills.
*High level of attention to detail and a proactive approach to research.
*Ability to work effectively within a small, experienced investment team.
To apply, please submit a copy of your Word CV to
mailto:
The successful candidate will join a collaborative credit investment team responsible for analysing high-quality European corporate issuers and supporting the management of investment grade portfolios. The role provides exposure to bottom-up fundamental research, relative value assessment and the broader portfolio management process, working alongside experienced investors within a highly regarded asset management business.
This is an excellent opportunity for an ambitious credit analyst to further develop their expertise within a specialist investment environment. The successful candidate will gain exposure to a diverse range of sectors, issuers and market themes while contributing directly to the investment process.
The position also offers a clearly defined pathway towards a senior investment role, with the potential to progress into a portfolio management position over time.
Key Responsibilities
*Performing detailed fundamental credit analysis on European investment grade corporate issuers.
*Assessing company financials, business models, industry dynamics and key credit risks.
*Identifying relative value opportunities and contributing to investment recommendations.
*Supporting Portfolio Managers with research, idea generation and portfolio discussions.
*Monitoring existing holdings and providing ongoing analysis of credit developments and market trends.
*Developing financial models and maintaining detailed issuer research.
*Producing credit research notes, sector reviews and investment materials.
*Collaborating with the wider investment team to support portfolio management activities.
Requirements
*~3-8 years’ experience within investment grade credit research, ideally gained on the buy-side.
*Strong knowledge of corporate credit markets and fundamental investment analysis.
*Experience assessing corporate issuers, financial statements and credit fundamentals.
*Strong analytical skills with the ability to form independent investment views.
*Excellent written and verbal communication skills.
*High level of attention to detail and a proactive approach to research.
*Ability to work effectively within a small, experienced investment team.
To apply, please submit a copy of your Word CV to
mailto:
Job number 3936316
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