You will manage the end-to-end ratings process for Alternative Investment Funds, acting as the primary contact for issuers and handling daily analytical relationships
Job Summary
You will manage the end-to-end ratings process for Alternative Investment Funds, acting as the primary contact for issuers and handling daily analytical relationships.
This role offers a high level of analytical challenge and professional growth opportunities, with direct exposure to top management of banks and leading global investors.
The team is an integral part of the EMEA Structured Finance Group, working across the Financial Institutions (FI) Team with colleagues based in London, Paris, Dublin.
Matching Summary
You will manage the end-to-end ratings process for Alternative Investment Funds, acting as the primary contact for issuers and handling daily analytical relationships.
Skills & Requirements
Must-have
Alternative Investment Funds ratings
Structured Credit analysis
Client relationship management
Financial Institutions Team
Credit analysis expertise
Data interpretation and analysis
Nice-to-have
Thought leadership communication
Innovation and process improvement
Team player and positive atmosphere
ESG and digital disruption awareness
Key Requirements
3-5 years of experience in Fund Finance
Bachelor’s degree in engineering, Mathematics, Physics, Business, Finance, Economics, or related field
Experience in securitization, CLO, or credit analysis
Strong numerical and analytical skills
Excellent verbal and written English communication skills
Proficiency in Excel (VLOOKUP, pivot tables)
Good/advanced knowledge of VBA, Python, and/or R is a distinctive advantage