Description:
The Role:
You’ll work directly with the senior investment team, contributing across research, trade recommendations, and portfolio decision-making.
Key Responsibilities:
- Conduct bottom-up credit analysis of banks and other financial institutions
- Build detailed financial models and valuation frameworks
- Track and interpret regulatory and macro developments affecting the financials space
- Generate trade ideas and support portfolio managers with recommendations
- Draft investment research and presentation materials
Ideal Candidate:
- 18 months to ~4 years’ experience in credit research analysing European Banks
- Trained via a graduate program (ideally at a bank or FIG team) would be advantageous; exposure to credit investing highly preferred
- Experience from long-only credit, bank training programs, or boutique credit firms welcome
- Equity research candidates will not be considered
- Strong Excel/modelling capabilities; confident communicator
- Must be self-motivated, able to work with minimal supervision, and thrive in a lean, focused environment