Emerging Markets Credit Analyst - London, United Kingdom - eFinancialCareers
Description
Our client is a global investment management company established in July 2005 by their government to manage part of the country's foreign exchange reserves and other public funds.
Our client strives to preserve long-term purchasing power of the assets entrusted and exceed investment target return within a justifiable level of risk through investing well diversified, foreign currency denominated assets transacted in the internationalcapital market.
By efficiently managing public funds, our client will contribute to preserving and enhancing sovereign wealth, and providing for the future generation.
They invite dynamic and highly motivated individuals to join us at their London office.Description
Exciting opportunity for a Emerging Markets Credit Analyst - VP / Director to join a Global Investment Management, Sovereign Wealth Fund in London
:
- Credit research, trading & portfolio management: Market / Sovereign / Corporate Analysis
Responsibilities:
- EM credit research, trading and portfolio management
- Collecting, analyzing, and interpreting realtime financial/market data to develop and maintain an approved list of investment universe
- Maintaining ongoing dialogue with issuers and attending roadshows
- Keeping uptodate knowledge of key issues across various sectors and markets
- Formulating and communicating rigorous fundamental and relative value based trade recommendations
- Execution of nondiscretionary and/or discretionary trading of cash and derivative fixed income products
- Team work with integrity is very much required
Profile
Exciting opportunity for a Emerging Markets Credit Analyst - VP / Director to join a Global Investment Management, Sovereign Wealth Fund in London
:
- Credit research, trading & portfolio management: Market / Sovereign / Corporate Analysis
Required qualification s:
- At least 5 years of experience in EM credit portfolio management or credit research. Ideally with a focus on LATAM / Middle East
- Market/Sovereign/Corporate analysis capabilities: Fundamental and relative value analysis based on knowledge of accounting, various industries, and macro variables
- Ability to perform trading under pressure and within strict time constraints
- Working knowledge of accounting, finance, credit rating methodologies, fixed income trading platforms and portfolio management tools
- Portfolio construction and risk management capabilities
- Ability to pay attention to details and multitask
- Strong work ethic and teamwork skills
Job Offer
The package will be competitive
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