Job Description Seeking an Investment Analyst to join a Opportunistic Credit team at a distinguished investment management firm with over $9 billion in assets under management. The role entails identifying and evaluating high-yield, stressed, and distressed credit investment opportunities across various sectors with the candidate collaborating closely with senior analysts and portfolio managers. This role is ideal for candidates with a rigorous analytical background and a strong interest in special situations and opportunistic credit investing. Job Responsibilities Develop comprehensive financial models to evaluate high-yield, stressed, and distressed credit opportunities across various sectors. Conduct detailed fundamental analysis based on financial statements, market research, and investor calls to produce accurate performance forecasts. Work alongside senior analysts to analyze capital structures, liquidity, and potential risks, contributing to robust investment theses. Contribute to the review of primary deals in loans, bonds, and hybrid instruments, completing thorough due diligence. Communicate analyses and recommendations effectively to senior partners and stakeholders. Support ongoing portfolio management by tracking and reviewing the performance of portfolio companies, identifying risks and opportunities that inform investment decisions. Qualifications: Bachelor’s or master's degree from a leading university or educational institution. Demonstrated experience in credit analysis, preferably in high-yield or distressed debt. Strong financial modelling skills and proficiency in analysing complex financial structures. Excellent communication and interpersonal abilities, capable of effectively presenting analysis and recommendations to team members and stakeholders. Self-motivated and driven; ability to work effectively in a collegial, fast moving, demanding, and dynamic environment. Please submit your CV through the link below.