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Credit Analyst

Employer
Citadel Enterprise Europe Limited
Location
London, UK
Salary
Competitive
Closing date
Jan 29, 2019

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Job Role
Credit Control
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Role Description Credit Analysts conduct analysis across an assigned coverage universe to generate trade ideas and support business portfolio managers and trading strategies. These needs vary across multiple credit businesses including Converts, Distressed and Performing Credit. Key Responsibilities Build, maintain, and enhance models for assigned coverage universe and produce and update write-ups on focus names and situations Identify and support assumptions through independent thinking and without over-relying on sell side analyst/buy side peer research Build thorough understanding of the risk and payoff profiles across the range of range of instruments (corps, converts, CDS, equity, options) and trade structures to better express views, capture alpha, and manage risk Proactively identify new opportunities to contribute to the business across trading strategies Enhance knowledge of risk and portfolio oversight, both independently and by leveraging the QR team Skillset Requirements Bachelor's degree or equivalent experience, preferably in finance, economics, applied mathematics, physics, engineering, computer science, or a related quantitative field. Prior experience as a fundamental research analyst supporting a trading desk (credit coverage strongly preferred) Prior experience in M&A focused analysis required Prior balance of sell side and buy side experience required Prior experience in public and private side transactions Prior experience in sourcing, structuring and execution of primary credit transactions. Experience in both EMEA and APAC regions. Foreign language(s) advantageous. Demonstrated ability to cover multiple credits in a fast-paced environment requiring efficient evaluation of opportunities in response to news and market changes Familiarity with modeling techniques for corporate capital structures and derivative pricing (options, credit derivatives), risk measurement/management, and performance attribution techniques a plus Willingness to embrace quantitative analytics and technology for research and idea generation Closing date: 25th February 2019

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