The role involves developing top-down views across credit markets to translate them into portfolio positioning and allocation recommendations
Job Summary
The role involves developing top-down views across credit markets to translate them into portfolio positioning and allocation recommendations.
Candidates will work within a team of nearly 300 investment professionals managing over $100 billion in assets under management.
The position offers flexible time off, professional development opportunities, and a culture focused on inclusion and innovation.
Matching Summary
The role involves developing top-down views across credit markets to translate them into portfolio positioning and allocation recommendations.
Salary
Base: USD $120,000.00 - $215,000.00 per year; Bonus/Equity: Not specified; Benefits: Flexible Time Off (20 days accrual), comprehensive benefits package
Skills & Requirements
Must-have
8-10 years credit strategy experience
Public and private credit markets expertise
Top-down macro and credit views
Portfolio construction and sizing skills
Bloomberg and PitchBook proficiency
Nice-to-have
Strong quantitative modeling capabilities
Ability to drive senior stakeholder debate
Experience with scenario analysis and stress testing
Cross-asset relative value insights
Thematic research synthesis skills
Key Requirements
8-10 years in credit strategy or portfolio management
Track record of translating views into portfolio outcomes