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Director, Credit & Risk Management
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|Sector||Credit & Risk Management|
Leading Asset Manager seeking a Banks focused Credit Analyst to join their London office
Credit research specifically into bond issues from issuers in the banking sector.
Analyse and understand: 1) the legal structure of the deal; 2) the business risk profile of the business; and 3) the financial risk of the company.
An overall assessment of risk and valuation of that risk will then be communicated to the firms credit PMs using the proprietary framework.
The successful candidate will be expected to work as part of a team with our entire desk to generate investment ideas and especially closely with our senior banks analyst.
Skills/ Experience required
Proven investment analysis experience
Exceptional communication skills
Highly-developed sense of teamwork and cooperation
Previous experience covering European listed and unlisted banks
Ideally experience in fixed income markets, but other asset class (eg equity) backgrounds considered
Understanding of and experience in analysing the entire bank debt capital stack from covered bonds through to additional tier 1
Familiarity with banking industry regulation across Europe
Ability to work with incomplete information
Expertise with SNL and/or CapitalIQ, including excel add-ins
For application or enquiries, email firstname.lastname@example.org
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