MID-LEVEL ANALYST, LONG SHORT CREDIT – Updated

Our client, a $30B+ credit fund in Midtown would like to add a mid-level Analyst to their markets-driven team. The fund focuses on high yield and loans with a hold period from one month to two years. Returns have been strong over a long period. The role requires an Analyst who has a true passion for both markets and credit. The team takes a tactical approach to investing and the team sits together to keep communication open. They trade regularly and so analysts should have a background in bond math and a love of markets. The strongest candidates have 5-10 years of experience including at least 3-4 years of sell side or buy side high yield credit research experience. Candidates should demonstrate a passion for public credit markets. The team trades regularly and fundamental finance skills are less important than bond math and an interest in capital markets. The analyst will start as a generalist and over time, will take on a narrower list of industries, with an effort toward focusing on previous coverage. Verbal communication skills are extremely important, along with the ability to convey written ideas clearly and succinctly. The team has an affable and supportive culture so a likeable personality will fit well within the team. Candidates should have a track record of professional and academic success. Qualified Candidates may forward a resume with undergraduate GPA to our website. All inquiries will be treated confidentially.

Please note: You only need to submit your resume once. You will be considered for all open positions. Do not submit your resume to other jobs after submitting once.

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