High Yield Distressed debt analyst – Leading NYC hedge fund – Paris recruitment
The firm have a huge US and European presence therefore will be able to offer you excellent training and exposure in addition to flexibility on all mandates and broad industry coverage encompassing a number of sectors in Europe
Your responsibilities will include: -
• Working as a Buy side analyst focused on generating proprietary investment ideas in the European distressed and high yield debt markets
• Responsible for sourcing, evaluating, structuring, executing and monitoring investments
• Investments in European corporate high yield and distressed debt, CMBS/RMBS.
• To perform credit analyses on high yield and distressed securities aimed at 1) systematically identifying security and industry mispricings due to credit or fundamental factors, 2) acquiring superior insight into upcoming catalysts and 3) discovering and evaluating overlooked, misunderstood and complex special situation opportunities.
This role will provide you with an opportunity to work with some key figures in distressed debt investing and will also offer you exposure to other related areas such as:-
-event driven equity and CDS positions
-Evaluating European principal property investments and structured/illiquid instruments.
-Representing the firms position in a number of debt restructurings
Applicants with experience within special situations or distressed debt investing from another fund will be considered with high regard.
This is an excellent opportunity to join one of the most lucrative names in the space.
There is an excellent salary and unrivalled bonus potential. The role is based in Paris and London.
You should be aiming to express your interest immediately. Utmost confidentiality assured. Please apply directly to fundmanagement@selbyjennings.com or visit our Website, www.selbyjennings.com