14 часов назад
Research Analyst (Fixed Income)
150 000 - 200 000$
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Research Analyst (Fixed Income): Conducting fundamental credit research and liquidity analysis for money market, municipal, and short-duration fixed-income portfolios with an accent on issuer surveillance, regulatory credit files, and market liquidity. Focus on evaluating issuer credit quality, providing buy and sell recommendations, supporting portfolio liquidity decisions, and coordinating with risk, compliance, portfolio managers, and traders.
Location: New York, New York, United States of America; 4 days in the office
Salary: $150,000–$200,000 annually, plus a discretionary bonus
Company
is a global asset and wealth management firm operating across asset management, wealth management, and fintech, with clients in more than 150 countries.
What you will do
- Conduct fundamental credit research on investment-grade corporates, state-sponsored agencies, non-bank financial institutions, and globally systemically important banks.
- Lead annual credit reviews and continuously assess issuer-specific, liquidity, event-driven, and systemic risks.
- Maintain regulatory credit files, perform daily ratings surveillance, prepare formal credit reports, and document material credit developments.
- Evaluate issuer credit quality and support approval decisions for money market fund eligibility.
- Act as the sole credit authority on the trading desk, providing buy and sell recommendations to portfolio managers.
- Coordinate with risk, compliance, and global investment teams on methodology, regulatory reporting, and cross-sector credit insights.
Requirements
- At least 5 years of relevant experience in asset management, fixed-income research, trading, portfolio analytics, treasury, cash management, liquidity, or risk analytics.
- Strong understanding of fixed-income markets and instruments, including rates, credit, funding markets, and market liquidity drivers.
- Ability to work with large datasets, develop repeatable analyses, and translate findings into clear recommendations.
- Proficiency with Bloomberg and Excel.
- Excellent written and verbal communication, sound judgment, attention to detail, and the ability to prioritize in a fast-paced market environment.
- Bachelor’s degree in finance, economics, mathematics, engineering, or a related quantitative discipline.
Nice to have
- CFA designation.
- Experience with Python, SQL, R, VBA, Power BI, Tableau, or similar analytics tools.
Culture & Benefits
- Collaborative, integrated global investment platform with cross-regional cooperation.
- 401(k) plan with a company match and annual discretionary bonus eligibility.
- Healthcare, insurance, disability, stock investment, and wellbeing programs.
- Learning resources, career development programs, and reimbursement for certain education expenses.
- Paid vacation, holidays, sick leave, parental and caregiving leave, bereavement leave, volunteering time, and floating holidays.
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