Senior Credit Research Analyst – Energy
- Employer
- Aviva Investors
- Location
- Chicago, Illinois
- Salary
- Salary and bonus
- Closing date
- Nov 18, 2020
View more
- Job Function
- Credit Analysis, Fixed Income Research: Buy Side
- Industry Sector
- Asset Management
- Employment Type
- Full Time
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Job Details
The Role
We are looking for an experienced credit analyst to take a role in our Commodity/Industrials sector group with a specific focus on the North American Energy subsector. You will use your judgment and experience to make fund management recommendations. You will work collaboratively with research colleagues across AI, fund managers and other AI research and strategy teams to formulate and underpin security selection recommendations.
The Team:
The credit business at Aviva Investors comprises almost a third of the total AUM of the business. Our credit offering is global and spans liquidity, investment grade, buy-and-maintain and high yield strategies at both a global and regional level. Over 50 portfolio managers and credit analysts support the credit business around the world, in London, Paris, Chicago, Toronto and Singapore. One of the key tenets of our credit business is to ensure sharing of ideas across the globe and our global credit research platform of 28 analysts assists in this idea sharing and connecting thinking. Portfolio construction is at the heart of any of our credit portfolios; we focus on consistently adding alpha throughout the credit cycle.
Responsibilities
You will be responsible for:
· Undertaking analysis and strategic research in assigned regions providing input into investment grade and high yield fund management decisions
· Working collaboratively with team colleagues, fund managers and other AI research & strategy teams to help formulate and underpin security selection recommendations
· Publish investment recommendations and provide credit updates as necessary
· Monitoring the performance of investment recommendations via extensive financial modeling, relative value analysis, industry conference attendance, and sell-side discussions
· Evaluate new issues in the primary market
Requirements
· The ideal candidate will have 7+ years of leverage finance, investment banking, high yield or investment grade debt capital markets experience (buy or sell side)
· Experience covering the Energy sector is considered a plus, although not a prerequisite
· Either a relevant degree (economics, finance, accounting or related discipline) or able to demonstrate a suitable depth of intellectual knowledge and maturity
· CFA or CPA qualification or progress towards
· The ability to deliver investment research and/or investment ideas that contribute to superior, risk adjusted results
· Experience in applying techniques learned in a financial markets environment
· Quickly able to develop and build relevant modelling tools
· Authoritative within area of expertise along with a good level of generalist knowledge
· Well-developed problem solving, decision making and communication skills
· Energetic and forward thinking with high ethical standards and truly professional approach
Company
We help our 33 million customers to save for the future and manage the risks of everyday life. To give these customers the best possible products and service we know we must make Aviva the most attractive choice for talented, entrepreneurial people with diverse backgrounds and an evolving range of expertise and insight.
So, we’re passionate about helping our 29,500 people to do the best work of their lives, to enable them to make a positive difference to the lives of our customers.
Company info
- Telephone
- 5152896019
- Location
-
225 W Wacker Drive
Suite 2250
Chicago
IL
60606
US
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