Senior Credit Strategist
Analysis/interpretation of high frequency market relevant data, their performance as well as the implied risks
- Translation of the macro-economic and fixed income analytics into credit market relevant views, in particular for the major sectors and for different asset qualities (investment grade, high yield). This implies a close working relationship with the macro-economic team, the colleagues who cover the government bonds as well as the credit analysts.
- Development of investment tools/models
- Establish/strengthen the working-relationship with the different credit portfolio management teams and if necessary to discuss portfolio suggestions whilst considering the different market specifics
He/she will contribute actively to the various publications of the department via his/her own analysis and/or team projects. He/she will develop/strengthen the contact with the various portfolio management teams to identify their needs as well as their views, whilst at the same time keep an independent mind-set. He/she will have an important commercial role vis-à-vis clients as well as prospects.
Job based in Paris.
Required Profile:
Education:
- University or equivalent with a Master in economics, finances, portfolio mgnt
Professional experience
- 5 to 10 years with in credit research with a strong orientation toward financial markets
Languages:
- French and English fluent, one of the two being native; a third language would be an advantage
Qualities required:
- Strong academic and independent/open mindset
- Strong analytical capacities
- Excellent writing and communication skills (in particular in English)
- Team spirit
- Strong organizational back drop, respectful and committed