Monitor single name corporate credit situations in North America across performing and opportunistic strategy in both leveraged loan and high yield markets Perform investment research, including: Building financial models with KPI driven Revenue models, Cost drivers, Working capital analysis, Capex schedule, Capital Structure forecast, Covenant analysis, Default & Recovery workouts and IRR sensitivities; Term Sheet preparation from credit agreements and bond indentures Drafting Investment Memos including identification of investment catalysts and provide recommendations on high yield bonds/loans, including fundamental and relative value views for primary and secondary trades Presenting the primary/secondary deals to the investment committee. Have full-ownership of the deal and monitoring its constant performance against benchmark bonds. Maintain portfolio coverage including model updates and earning summary write-ups, while maintaining regular news on the portfolio. MBA or equivalent in Finance /CFA/CA Minimum of 4-5 years of buy-side or sell-side experience covering single name corporate credit in high yield markets, across Leveraged Loans and/or Bonds asset classes Proficiency in bui
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