You will join a small but well establshed fixed income investment team, responsible for producing bottom up and relative value investment ideas. The team is very colleagiate and takes an absolute return, multi-strategy credit view, so whilst your primary responsibilty will be your sectors you will be also familiar with the the wider fixed income universe (including emerging markets) and able to contribute ideas and market views helpful to your colleagues covering other credit asset classes.
You will likely have between seven and twelve years' experierence of credit research, generating both bottom up and relative value investment recomendations, gained in another asset manager, a ratings agency or an investment bank. You will hold relevant quailif ca tions, including all, or part of the CFA.
This is a compelling opportunity to join a succesful and well established credit team within a stable investment platform with permanent capital to invest.