We are seeking a highly motivated Portfolio Manager with Credit, Stressed or Distressed experience to join a rapidly growing Asset Management Company.
Responsibilities:
Manage a portfolio of assets in the Credit, Stressed and Distressed space.
Conduct in-depth fundamental credit analysis and make informed investment decisions
Analyze market trends and economic indicators to identify investment opportunities
Monitor the performance of the portfolio and make necessary adjustments to ensure objectives are met
Report to the Chief Investment Officer and present investment ideas and performance updates
Develop and maintain relationships with clients, investment banks and other market participants
Work collaboratively with other members of the investment team to generate investment ideas and develop investment strategies
Requirements
Bachelors degree.
5 to 15 years of total experience, with buyside experience preferred
Strong analytical skills and experience in credit analysis
Ideally experience in Stressed and Distressed debt markets
Ability to work well under pressure and meet deadlines
Excellent communication and interpersonal skills
Ability to work independently and within a team environment
Proficient in Microsoft Excel and Bloomberg
Benefits
25 days holiday, private healthcare and pension etc
Bachelor\'s degree. 5 to 15 years of total experience, with buyside experience preferred Strong analytical skills and experience in credit analysis Ideally experience in Stressed and Distressed debt markets Ability to work well under pressure and meet deadlines Excellent communication and interpersonal skills Ability to work independently and within a team environment Proficient in Microsoft Excel and Bloomberg