Job Description:
• Build out coverage and assume responsibilities for multiple High Yield corporate credit sectors
• Produce applicable trade recommendations and relative value analysis for Portfolio Management
• Conduct fundamental credit analysis including financial modeling, covenant review, capital structure assessment, and event-driven catalyst identification
• Monitor portfolio holdings and watchlists, flagging risks and opportunities as they emerge
• Stay ahead of market-moving developments across sectors—earnings, refinancings, M&A, rating actions, technicals
• Leverage analytical tools to enhance workflow efficiency, synthesis, and speed of analysis
• Collaborate with Portfolio Management in a remote, high-trust environment
Requirements:
• 2+ years of experience in High Yield corporate credit analysis
• Multi-sector coverage experience: Analyst background with the ability to move fluidly across subsectors.
• Experience generating trade ideas quickly and combine information under pressure
• Technical skills: Excel, Bloomberg, and comfort using AI tools to accelerate research and workflows
• Self-starter mentality: You excel with autonomy and deliver high-quality work
• Collaborative mindset: You work well in a small, remote team where communication skills are necessary.
Benefits:
• Comprehensive medical, dental, vision and wellbeing benefits
• Competitive 401(k) contribution
• Pension plan
• Annual incentive
• 9 paid holidays
• Paid time off program (23 days accrued annually for full-time employees)
• Student loan repayment program
• Paid-family leave