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You will be updated with latest job alerts via emailKey Responsibilities
Analyzing issuers via financial analysis evaluating industry positioning assessing business management and strategy etc.
Building and maintaining financial models (historical and forecasts) and other investment related infrastructure supporting our credit recommendations and investments across sectors.
Identifying investment catalysts and business risks and forming an opinion on the said asset class/credits
Authoring credit reports/memos supporting and defending the recommendations in both verbal and written formats with portfolio managers
Assessing the relative value of investment opportunities by interpreting riskreward parameters legal and capital structures bond covenants market drivers and value of available alternatives
Working with senior analysts to perform ongoing due diligence and monitor portfolio positions and key credits
Keeping track of relevant news for the portfolio and analyzing potential impact
Working well under pressure must be able to remain calm and focused while multitasking in a fastpaced unstructured and dynamic work environment
Team oriented/strong communication must be able to work with people of diverse skills and personalities toward a common goal of effectively managing large portfolios
Qualifications :
Requirements
MBA Finance from premier institutes/CFA/CA or equivalent
Minimum 3 years of experience in credit evaluation and fixed income fundamental research
Excellent verbal and written communication skills
Attention to detail and organizational skills Ability to work independently and should have critical reasoning skills
Proficiency in using databases Bloomberg Microsoft Office Syndication sites and others
Remote Work :
No
Employment Type :
Fulltime
Full-time