The role will take responsibility for researching various sectors with a focus on utilities across corporate Investment Grade credit opportunities, supporting Portfolio Managers who are based in UK, France, Italy and the US. Coverage will be across EMEA and the US.
This is a key position in an expanding part of the business so it is vital that the hire is capable of deep dive fundamental research and independent idea generation.
Our client is an awarding wining asset manager with a multi-strategy approach of which the fixed income business is one of the best regarded in the industry. They have a commercial and innovative approach, and a highly collaborative working environment.
We would like to hear from Credit Analysts from buy or sell side, with around 7-10 years' experience, ideally including utilities exposure although we are also keen to hear from individuals with wider industrials coverage as well.
Please get in touch for further details.