Fixed Income/Credit – Analysts
To apply for this position, candidates will ideally need to have
- A professional degree in Business, Accounting or Economics, or a professional qualification such as CIMA, ACCA, ICASL, or an MBA. Candidates with degrees/qualifications in other disciplines and possessing relevant skills will be considered. The CFA qualification will be an added advantage
- Four to six years of overall work experience with at least three years’ experience in the capital markets/investment research domain
- At least two to three years’ experience in fixed income credit, including high yield credit modeling/distressed debt/recovery analysis/investment grade analysis
- Hands-on experience in building detailed models, capital structure (Waterfall) analysis/distressed debt analysis/bankruptcy/recovery analysis/covenant analysis/investment grade analysis
- Proven client management responsibility/experience
- Strong analytical and problem-solving skills
- Flawless written and spoken English
- An in-depth understanding of credit markets
- A very high degree of initiative, self-leadership, and entrepreneurship
What you will do with us
- Be responsible for the high quality and timely delivery of research to clients, including building/updating models, compiling initiation of coverage reports, and conducting sector research
- Be responsible for providing end-to-end research support to clients, managing client communication, feedback, etc.
- Leverage knowledge of the fixed income credit domain in delivering varied value-adds to clients and adding to team’s skill set
- Deliver research to various clients independently