IG Research Analyst - Phaxis LLC
New York, NY 10019
About the Job
IG RESEARCH ANALYST AT GLOBAL ASSET MGMNT FIRM
Base Salary is $175K to $200K (based upon candidate & experience)
Excellent Benefits; and Discretionary Bonus
Global Asset Management Firm is looking for an experienced Investment Grade Research Analyst to join the US Fixed Income Research Team. While there is flexibility for the right candidate, the role will generally focus on the analysis of Investment grade credits across a variety of sectors including but not limited to Capital Goods, Aerospace and REITs.
We currently work in a hybrid model with three (3) days (tba) in the office and two (2) days remote. Flexibility to be in the office five (5) days per week if needed based upon client and/or department needs.
QUALIFICATIONS AND SKILLS
PREFERRED QUALIFICAITONS
DUTIES AND RESPONSIBILITIES
Base Salary is $175K to $200K (based upon candidate & experience)
Excellent Benefits; and Discretionary Bonus
Global Asset Management Firm is looking for an experienced Investment Grade Research Analyst to join the US Fixed Income Research Team. While there is flexibility for the right candidate, the role will generally focus on the analysis of Investment grade credits across a variety of sectors including but not limited to Capital Goods, Aerospace and REITs.
We currently work in a hybrid model with three (3) days (tba) in the office and two (2) days remote. Flexibility to be in the office five (5) days per week if needed based upon client and/or department needs.
QUALIFICATIONS AND SKILLS
- Bachelor's Degree required in finance, accounting, business, economics, or related subject.
- Minimum of Four (4) years of Investment Grade Credit Research experience.
- Understanding of financial statements, capital structure, cash flow analysis, capital markets and portfolio management.
- Independent thinker with the ability to hold contrarian views.
- Ability to work effectively both independently and in a team environment with limited supervision.
- Strong communication skills.
- Proficient in Excel, Word, PowerPoint, Capital IQ, and Bloomberg.
- Personable, collegial and team oriented.
PREFERRED QUALIFICAITONS
- MBA and/or CFA/CPA.
- Actuarial, mathematical, engineering or computer science credentials and/or experience.
- Broad experience within the full spectrum of investment grade market.
- Experience working in an asset manager.
- Aladdin experience.
- Client Eikon experience.
- Willingness to develop new coverage.
- Sell-side and buy-side relationships.
DUTIES AND RESPONSIBILITIES
- Perform fundamental analysis including modelling.
- Monitor performance and holdings relative to investment objectives, benchmarks, and outlook.
- Produce both written and oral relative value recommendations.
- Develop and maintain sell-side research relationships, contact issuer management teams, and attend industry conferences.
- Collaborate with other debt and equity analysts and portfolio managers as the credit expert on the covered industries.
- Frequently interact with portfolio managers and traders.
- Participates in periodic Industry Outlooks/Update and Thematic research sessions while utilizing the Data Insights Unit and the Environmental, Social and Governance resources.
- Meet with clients and prospects to discuss coverage themes and outlooks.
- Quickly respond to ad hoc credit requests.
Source : Phaxis LLC