You will be responsible for Credit analysis and monitoring of portfolio and the leveraged buy out debt market, providing high quality research across asset classes and sectors. This will include actively participating??in all aspects of the investment process, alongside the relevant Portfolio Manager, and participating in investment committees.??
The role would suit someone with around 2-4 years' experience, ideally from buy-side but we can also consider applicants from sell-side.??
This is a high quality global asset manager with an excellent reputation and highly talented investment group.??
Please get in touch for further details.??
Internal Number: 11264014
eFinancialCareers is a career site specializing in financial services.