Overview

Key Responsibilities:

– Conduct thematic research and sector analysis across US and European credit markets.

– Perform primary and secondary research on single-name credit opportunities, supporting both existing positions and new investment ideas.

– Carry out ongoing due diligence and surveillance of – liquid credit and CLO portfolios- , preparing sector commentaries and market updates.

– Partner with traders by providing macroeconomic updates, quantitative analyses, and data-driven insights.

– Interpret and analyze large datasets on securities, collateral, and sector performance- to produce actionable research.

– Leverage third-party tools, vendor resources, and statistical models to enhance evaluation of liquid credit strategies.

Basic Qualifications:

– Degree in Finance or related field; MBA or CFA preferred.

-1-3 years of experience- in fixed income research, with exposure to – credit derivatives and/or CLOs.

– Strong technical proficiency in – Python and SQL.

– Demonstrated ability to analyze complex datasets and apply – quantitative/statistical models- to derive insights.

– Strong communication skills and ability to work both independently and collaboratively.

Preferred Qualifications:

– Prior experience supporting a – fixed income strategy- (sell-side or buy-side).