High Yield and Investment Grade Analyst for multi billion dollar fixed income asset manager recruitment

The fund has a track record over nearly 30 years and was one of the first purely devoted fixed income asset managers which invests across the following fixed income products such as government and corporate debt, high yield and emerging market debt. The role will see the candidate reviewing credits on a global basis across all of the above mentioned fixed income product areas within a specific sub sector. This is a very collaborative environment where by all the analysts will be able to contribute their views whilst working directly with the Portfolio Managers of each product area.

To be considered for the role, candidates must have at least 5 years buy-side experience across either investment grade or high yield products, but must have working knowledge and be prepared to work across all fixed income products. The client is flexible on sector coverage, however candidate must be able to demonstrate strong bottom up fundamental analysis skills. As this is a team environment, strong interpersonal skills are essential in addition to strong academics.