Join a leading global asset manager overseeing over $100 billion AUM, known for its active investment approach and deep expertise across public and private markets. With a long-term focus and a commitment to delivering consistent alpha, the firm integrates top-down macro views with rigorous bottom-up credit research.
About the Role
As a pivotal member of the credit research team, you'll conduct deep industry and issuer analysis, focusing on corporate borrowers. You'll produce forward-looking credit opinions, identify relative value opportunities, and contribute to alpha-generating investment strategies.
Key Responsibilities:
Perform in-depth credit analysis and financial modeling for corporate issuers
Analyze issuer cash flows, capital structures, and covenant frameworks
Prepare and present clear, actionable credit memorandum to internal committees
Monitor issuer performance and industry trends with independent, bottom-up research
Collaborate with portfolio managers, strategists, analysts, and traders to inform investment decisions
Qualifications:
2-5 years of experience in credit analysis, leveraged finance, or corporate lending
Strong financial modeling and analytical rigor
Experience across the credit spectrum-from high yield and bank loans to investment grade
Excellent communication skills; able to clearly convey complex research findings
Self-motivated and intellectually curious, with a team-player mentality
- CFA preferred
Why You'll Love It:
Work in a collaborative, intellectually rigorous environment focused on active credit management
Engage in high-impact, alpha-generating research across global credit markets
Enjoy competitive compensation, comprehensive benefits, and strong professional development in Boston
Ready to take the next step? Apply now!
