Position Overview
We are seeking a highly motivated individual to support a Portfolio Manager focused on an Event-Driven / Stressed / Distressed Credit strategy. The role involves conducting deep-dive research, financial analysis, and helping generate actionable investment ideas. This is an excellent opportunity for someone with a sharp analytical mindset and a strong interest in credit markets to build a career in hedge fund investing.
Key Responsibilities
* Conduct comprehensive research on companies, capital structures, and special situations
* Analyze financial statements, market trends, and macroeconomic data to uncover investment opportunities
* Build and maintain detailed financial models for valuation, forecasting, and risk analysis
* Draft clear, concise investment memos and presentations for internal use and client updates
* Use data tools and market resources to monitor performance and stay ahead of industry developments
* Track relevant news, regulatory shifts, and catalysts that could affect the investment portfolio
Qualifications & Preferred Background
* 2–5 years of professional experience, ideally in investment banking, restructuring, asset management, or hedge funds
* Strong financial modeling and Excel skills; familiarity with valuation techniques and credit analysis
* Solid understanding of financial markets and investment strategies, especially in distressed and event-driven investing
* Excellent communication skills—both written and verbal
* Highly self-motivated, curious, and detail-oriented
* Comfortable working in a fast-paced, high-performance environment
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