Analyst / Corporate debt Structurer

  • Competitive
  • Londres, Angleterre, Royaume-Uni
  • CDI, Plein-temps
  • DELFF Management
  • 27 oct. 17 2017-10-27

DELFF Management Ltd has a unique opportunity for Analyst / Corporate debt Structurer. Our Company is a London based Asset Manager registered and regulated by the FCA. We focus on the Fixed Income environment with two main strategies: - European High Yield Corporate Debt and, - European Leveraged Finance Markets. The company is partly owned by La Française AM, one of the largest Fund management company in France with €60+ Billion in AuM. We are looking for an enthusiastic, tenacious and highly motivated individual with a positive approach who enjoys working both autonomously and within an entrepreneurial environment.

The right candidate will have:

  • 2-3 year previous work experience as a credit risk analyst or a debt structurer in another credit fund or the Leveraged Finance group of a bank,
  • structured corporate credit transactions and,
  • expertise in the high yield and leveraged loan products.

Additionally, fluency in English is essential and French would be a benefit but not essential.

The successful individual will:

Analyse credit & sectors

  • monitor the credit quality of debt issuers: collect and analyse data from companies and other sources for the preparation of internal credit research;
  • analyse investment opportunities: prepare comprehensive credit proposals for submission to the Investment Committee and monitor the Credit Approval process;
  • review credit documentation.

Monitor the Funds’ investments

  • maintain updated financial models on portfolio investments; .
  • make recommendations to the Fund Managers on trades and investments.

Support our Team and Customers

  • provide support to clients and sales team by updating marketing material (pitchbook, presentation).

Structure new corporate debt transactions:

  • analyse deal opportunities;
  • prepare financial and operational models;
  • review legal documentation: term sheet, facility and security documentations.

Qualifications

  • Bachelor or Master Degree in Economics, Finance, Accountancy or Management required,
  • Strong credit analysis skills
  • Knowledge of corporate finance and accounting is required
  • Expertise in financial modelling
  • Excellent written and oral communication skills
  • Expert Excel skills (macros and VBA)