Credit Research Analyst Generalist — Buy-Side Investment Firm, London – eFinancialCareers
Project detail
Our client is looking for a Credit Research Analyst to drive investment decisions across a diversified corporate bond portfolio. This market-facing position provides direct access to portfolio management and hands-on involvement in developing trade strategies throughout the credit spectrum.
Your Impact
Partner directly with the lead Portfolio Manager to deliver fundamental credit research and generate high-conviction investment opportunities across both investment-grade and high-yield markets. In this dynamic, results-oriented environment, your analysis will shape real-time investment decisions spanning industrials, consumer goods, healthcare, utilities, and beyond.
What You’ll Do:
Research & Analysis
Execute comprehensive fundamental credit analysis across diverse corporate issuers
Develop and present compelling trade recommendations for primary and secondary markets
Track earnings releases, sector developments, credit events, and macro trends affecting issuer creditworthiness
Portfolio Support
Create and maintain sophisticated issuer financial models
Contribute to risk assessment and portfolio optimization initiatives
Support strategic positioning across the credit capital structure
Market Engagement
Build relationships with company management teams, research professionals, and sell-side counterparts
Represent the firm at industry meetings and investment conferences
Stay connected to market developments through active networking
Experience & Skills
2-5 years in credit research or adjacent roles with multi-sector corporate bonds exposure
Exceptional financial modelling capabilities with the ability to translate complex data into clear investment narratives
Proven track record presenting investment recommendations to senior decision-makers
Degree in Finance, Economics, or related field
CFA candidacy or charter holder preferred
To apply please send your CV to
More than 06 months
Medium Level