Key Responsibilities
Conduct in-depth fundamental credit analysis across leveraged loans, high-yield bonds, and direct lending opportunities.
Build and maintain complex financial models (LBO, cash flow, and capital structure analysis) to support investment decisions.
Evaluate new investment opportunities and develop clear, well-supported investment theses.
Prepare and present investment memoranda to the Investment Committee.
Perform detailed due diligence, including financial, commercial, and management assessment.
Monitor and manage existing portfolio positions, identifying risks, catalysts, and value creation opportunities.
Contribute to idea generation, relative value analysis, and broader portfolio construction discussions.
Key Requirements
2–4 years’ experience in leveraged finance, investment banking, private credit, or credit investing.
Strong academic background; ACA, CFA, or equivalent qualification preferred.
Advanced financial modelling and Excel skills, with strong analytical and technical capabilities.
Solid understanding of capital structures, credit documentation, and debt instruments.
Demonstrated ability to form independent investment views and articulate them clearly.
Strong communication skills and confidence operating in a front-office, investment-driven environment.
High level of motivation, commercial acumen, and a genuine interest in leveraged finance and credit markets.
Due to high volume of applications received only qualified candidates will be contacted in relation to position.
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