Senior Analyst - Multi-Asset Credit
Job Title: Senior Analyst - Multi-Asset Credit
Firm Overview
A global investment firm specializing in credit strategies, with over $19 billion in assets under management. Founded in 2009, the firm focuses on high-yield bonds, leveraged loans, private and illiquid credit, direct lending, and structured credit, while also expanding into private equity and real estate. With offices in Los Angeles, New York, Dublin, and London, the firm serves institutional clients worldwide.
Role Overview
The firm is seeking an experienced Senior Analyst to join its Multi-Asset Credit strategy team. This role offers the opportunity to take ownership of a sector within the firm's credit-focused investment approach, which emphasizes distressed debt, special situations, and high-yield investments. This position is strictly a debt investing role, not private equity or strategic initiatives.
Key Responsibilities:
Conduct fundamental credit analysis and investment research across distressed debt, special situations, and high-yield opportunities.
Develop and execute investment theses within a designated sector, working closely with portfolio managers.
Monitor existing positions, assess risk, and identify potential value-creation opportunities.
Stay informed on market trends, macroeconomic factors, and industry developments to drive investment decisions.
Work collaboratively within a research-driven environment, contributing to investment strategy discussions.
Qualifications:
Strong background in credit investing, restructuring, special situations, or high-yield debt.
Experience in distressed debt, direct lending, or event-driven investing preferred.
Ability to work independently, take ownership of a sector, and generate high-conviction investment ideas.
Excellent financial modeling, valuation, and analytical skills.
Strong communication and presentation abilities, with the capability to convey complex investment ideas effectively.
Compensation:
Base and bonus compensation expected to start in the high six figures significant upside over time.
Why Join?
A global firm with a strong track record in credit strategies.
A flexible and nimble investment approach, allowing for quick market adaptation.
An award-winning workplace culture, named to Pensions & Investments' Best Places to Work in Money Management (2020-2024).
The opportunity to work in a highly collaborative, research-driven environment with experienced investment professionals.
The Managing Director is actively reviewing profiles this week and next, seeking strong candidates aligned with the firm's investment philosophy. If you have a deep understanding of credit markets and are looking for a challenging, high-impact role, we encourage you to apply.
Location: Los Angeles, CA
Firm Offices: Los Angeles | New York | London | Dublin
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