Structured Credit Investment Analyst

2 weeks ago


Red Wing, Minnesota, United States Securian Financial Group Full time
Overview:

Securian Financial Group is on the lookout for a Structured Credit Investment Analyst to bolster the expansion of our structured credit portfolios. This role is pivotal in assisting the structured credit team in meeting the investment goals across various portfolio strategies.


Key Responsibilities:


1. Supervise primary and secondary structured credit markets, providing timely recommendations for new issues, incorporating both structural and underlying asset evaluations with a focus on relative value across structured credit and broader investment alternatives.
2. Present secondary investment ideas based on relative value assessments.
3. Execute trading of approved investment strategies.
4. Conduct ongoing monitoring of current holdings to align risk with fundamental viewpoints.
5. Regularly update investment sector theses and positioning.
6. Perform internal rating assessments and evaluate underlying asset performance metrics against benchmarks while maintaining asset analytics and modeling.


7. Conduct recurring sector-level analyses to identify inflection points within sector coverage, expressed through fundamental outlooks and recommendations.
8. Evaluate sectors with a focus on ESG elements to highlight relevant options within sector coverage.
9. Engage in projects aimed at enhancing the research process, leveraging various technological platforms.


10. Provide cross-sector analytical support and engage in discussions regarding relative value.


Qualifications:


• A minimum of 5 years of proven investment research experience in a liability-driven or total return context within a structured analyst capacity.
• Currently pursuing or holding a CFA and/or MBA.
• Exceptional written and verbal communication skills, with the ability to present objective recommendations and defend positions.
• Strong mathematical and analytical abilities, with a solid grasp of structural nuances and modeling skills. Capable of distilling and communicating critical issues and assumptions.
• Comprehensive understanding of financial markets and risk models, supported by a background in mathematics, economics, or statistics.
• A high degree of curiosity, meticulous attention to detail, and a strong commitment to teamwork.
• Experience with research tools such as Bloomberg, Intex, Excel, and Tableau.


Work Environment:

Securian Financial Group promotes a hybrid work culture, allowing associates to work both virtually and in-office. This role requires proximity to our home office for collaboration and relationship building.


Compensation:

The estimated base salary range for this position is $131,000 - $191,000, with potential variations based on job-related factors and individual qualifications. This role is also eligible for a performance-based incentive program.


Benefits:

We offer a comprehensive benefits package designed to support your professional growth, well-being, and work-life balance, including:

  • Paid time off for personal needs.
  • Flexible leave programs for various circumstances.
  • Company-funded pension plan and a 401(k) retirement plan.
  • Health insurance coverage from day one.
  • Volunteer time and community engagement opportunities.
  • Associate Resource Groups for building connections and support.

At Securian Financial Group, we value diversity and inclusion, and we are committed to providing equal employment opportunities.



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