Job Responsibilities:
- Work within our team of PMs to ensure that portfolios are efficiently managed and comply with client guidelines
- Generate strategy and credit selection ideas, covering investment grade, high yield and EM hard currency corporates
- Invest in global credit markets, with a primary focus on, but not limited to, USD markets
- Construct new portfolios and design and implement trades for existing portfolios
- Monitor portfolios, risk reports and review credit developments
- Conduct regular meetings with credit analysts for credit reviews
- Analyse fixed income portfolio performance, conduct attribution analysis
- Develop new business opportunities
- Prepare and take part in pitches to prospective clients
- Review performance and analyse risk, write and present portfolio reviews
Required qualifications, capabilities and skills
- Has a deep understanding of fundamental credit analysis
- Has a logical thought process and is at ease with quantitative analysis
- Has high attention to detail and intellectual curiosity
- Open to quantamental credit investing
- Fixed income Credit PM or Credit Analyst experience
- High Yield credit analyst experience preferred
- Extensive experience in fixed income credit markets and/or portfolio management
qualifications, capabilities and skills
- Experience with portfolio optimisation preferred, but not required
- Is a clear communicator
- Is a team player
- Has strong Excel and Bloomberg skills