Key Responsibilities:
- Conduct in-depth credit analysis on financial institutions, with a primary focus on bonds and other fixed-income securities.
- Support trading desks with real-time insights, risk assessments, and market trends.
- Build and maintain financial models to evaluate issuer creditworthiness and potential investment opportunities.
- Collaborate closely with sales, traders, and other analysts to develop actionable trade ideas.
- Monitor macroeconomic and sector-specific developments impacting financial institutions and fixed-income markets.
Any applicants must have:
- Proven experience in credit analysis, ideally within the financial institutions sector.
- Strong understanding of fixed income products, particularly bonds.
- Advanced analytical and financial modeling skills.
- Exceptional communication skills, with the ability to present findings clearly to diverse stakeholders.
- A track record of working in a fast-paced, high-pressure environment.
To excel in this role, you will need to be highly motivated, a strong communicator, and possess excellent analytical and problem-solving skills. You should also be a team player who can work collaboratively and build strong relationships with clients.
If you are looking for a challenging and rewarding opportunity that will utilize your skills and knowledge of the credit markets, then this is the role for you.
If you would like to apply for this position, please send an updated CV (word format) to .