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Date of publication: 28-02-2018
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Our client is a family run independent investment management company specialising in the corporate bond market.

Main Responsibilities

- Conduct research and credit analysis of issuers of bonds and bond prospectus, majority in finance and insurance sector but also in emerging economies

- Research new investment opportunities

- Interact effectively with Fund Managers and the Compliance and Risk representative on key analysis and research

- Conduct credit analysis functions, continuous monitoring and advanced analysis of the quantitative and qualitative value of issuers and their respective securities

- Acquire research materials

- Participate in the completion of the E-library database by inserting the documents collected related to research to document the investments

- Participate in calls / presentations / meetings of companies, roadshows and other ad-hoc meetings

Support for investment:

- Assist Fund Managers in the investment process for both fund portfolios and private clients

- Monitoring measures to ensure compliance of investments

- Manage communications with brokers, market makers, the various departments of counterparts under the supervision of the Fund Managers

- Participate in the meetings of the investment committee as required

Other responsibilities:

- Participate in the improvement of procedures and contribute to the development of the company's IT tools by using the system and identifying the possible needs


- Be at ease in a small family owned investment company with a flat hierarchical structure

- Team oriented with strong communication skills

- Self-starter and autonomous, knowing how to manage priorities

- Able to explain and defend an analysis and its conclusions, profoundly honest in the assessments

- Ability to synthesize research / information to support the investment process

- Pro-active, rigorous and accurate with high attention to details, able to multitask, can work within a demanding and fast-moving environment

- Strong analytical capabilities, with excellent written and oral skills to summarize and report

- Computer language with solid MS Office knowledge - especially Excel – and advanced knowledge of Bloomberg tools

- minimum of 3-5 years of experience as credit analyst in asset management, especially on the buy side / or experience as credit analyst within an origination team or in hedge fund

- Experience in LBO, experience in reviewing legal financial documentation/bond prospectus/ SFA

- Advanced knowledge in investment fund / bond management (high yield bonds included) an asset

- Languages: fluency in English, good knowledge of French, Spanish and/or German an asset

- University degree related to finance

We offer

We offer direct recruitment with our client.

Banking & Insurance