Conduct comprehensive financial analysis and research on European high yield fixed income securities, developing investment recommendations and supporting portfolio management strategies. Perform detailed credit assessments, evaluate company fundamentals, and monitor market trends to identify investment opportunities and potential risks.
Requires extensive experience in European credit markets with advanced financial modeling skills, deep understanding of credit analysis techniques, and proven track record of generating investment insights. Candidates must possess advanced academic qualifications in finance, economics, or related field, with minimum 5-7 years professional experience in high yield credit analysis.
Offers competitive compensation package within a global investment management firm, opportunity for professional growth, collaborative work environment, access to cutting-edge financial research tools, and potential for significant career development in a prestigious financial institution.