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Associate Credit Analyst
2 months ago
At Virtus Investment Partners, our team at Newfleet Asset Management comprises seasoned professionals specializing in fixed income investments. We adopt a comprehensive multi-sector strategy to identify relative value, which is fundamental to our investment philosophy.
Our objective is to consistently deliver excess returns through proactive sector rotation and meticulous risk management. We construct our portfolios based on thorough core credit evaluations and dynamic portfolio oversight. Our investment experts analyze individual opportunities through a rigorous approach that combines both quantitative and qualitative assessments, aiming for broad diversification across various industries and issuers to mitigate downside risk.
JOB SUMMARY:
The Junior Credit Analyst will engage in fundamental credit evaluations of corporate bond issuers, encompassing financial statement analysis, industry assessments, and risk identification.
This role involves supporting senior analysts by gathering research materials, developing financial models, conducting relative value assessments, and preparing presentations.
As the analyst gains experience, they will be expected to manage coverage for 50-60 issuers across two or three industry sectors, making informed recommendations for purchases and sales to the portfolio management team.
ESSENTIAL DUTIES & RESPONSIBILITIES:
- Monitor assigned credits for any signs of credit deterioration and generate investment ideas.
- Conduct thorough security evaluations on fixed income credits.
- Maintain an in-depth understanding of the assigned industry sector and formulate relative value opinions.
- Establish and nurture relationships with investor contacts, including sell-side traders, analysts, issuer representatives, and clients.
SPECIFIC QUALIFICATIONS:
A bachelor’s degree in finance or business is required, with progress towards a CFA designation being advantageous.
1-3 years of relevant experience in corporate security credit analysis, preferably within an investment management context, showcasing a solid understanding of financial markets.
Credit training, a foundational knowledge of accounting, and experience in financial statement analysis are essential.
Strong quantitative skills are necessary, with proficiency in SQL considered a plus.
Familiarity with analytical platforms such as Perform, Bloomberg, or similar tools, including Excel API, is beneficial.
Understanding macroeconomic principles and their impact on assigned industries and companies, as well as knowledge of debt and equity capital markets, is crucial.
A collaborative mindset and the ability to work independently are highly valued.
Salary Range:
$76,000 - $105,000. The initial salary offer will be influenced by the candidate's education, experience, skills, and geographic location, along with internal equity and market data alignment. This position is also eligible for participation in a company incentive plan.