Credit Analyst (Financials) – Investment Manager (US Investment Grade) recruitment
Our client are an Investment Manager who provide investment management services primarily to institutions and manage a combination of long-only and alternative products across the sub-asset classes of investment grade corporate debt, high yield corporate debt, emerging market debt, convertible bonds, distressed debt and multi-strategy debt products. They have c$40bn AUM.
The firm have recently raised a new fund to invest in US Investment Grade Bonds and are putting together a small, high-calibre team to manage the fund. Their current need is for a Credit Analyst to cover the Financials sector. The position can be based in NYC or Stamdford, Connecticut. The successful candidate must have in-depth, bottom up credit analysis experience specifically with Financials, ideally in a risk taking environment. They will consider people from one of three backgrounds:
- A Desk/Credit Analyst from a sell-side trading team
- An Analyst from a rival buy-side firm
- A publishing analyst from a sell-side research team
We are exclusively mandated on this assignment. Screening interviews will happen over the next week or two. Interested candidates can either apply with a CV or email to arrange a discreet conversation. A full job description is available.