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Credit Research Analyst - Fixed Income Domain (5-6 yrs)

5-6 years

Pune

Credit Research Analyst - Fixed Income Domain (5-6 yrs)

Elements

posted 2mon ago

Job Role Insights

Flexible timing

Job Description

Fixed Income Credit Research


Job Description:

The Fixed Income Credit Research Analyst will play a pivotal role in assessing and analyzing the creditworthiness of issuers and their debt instruments, particularly bonds, across various sectors and geographies. This role demands a deep understanding of macroeconomic factors, credit fundamentals, and market conditions that impact credit quality and valuations. The successful candidate will be responsible for conducting detailed credit analysis, producing insightful research reports, and providing actionable recommendations to clients, ranging from buy, sell, or hold ratings on bonds.

Key Responsibilities:

- Credit Quality Analysis: Conduct a thorough examination of the factors that determine the fundamental credit quality and rating of issuers. This includes evaluating key financial metrics such as leverage, interest coverage, cash flow stability, and liquidity ratios, while also considering external factors like market position, competition, and regulatory risks.

- Issuer and Sector Credit Analysis: Independently perform detailed and rigorous credit analysis at both the issuer and sectoral level, offering insights on which credit instruments (preferably bonds) present optimal investment opportunities. Analyze and evaluate the impact of macroeconomic trends, industry shifts, and company-specific factors on the creditworthiness of various issuers.

- Macroeconomic Trend Analysis: Track and assess broader economic trends and market conditions, such as changes in interest rates, inflation, GDP growth, and geopolitical events, and understand how they affect both credit quality and the valuation of fixed-income securities.

- Credit Research Report Writing: Write comprehensive, in-depth fundamental credit research reports covering individual issuers and sectors across the globe. These reports should highlight key risks, opportunities, and the potential impact of external factors, providing clients with clear, actionable insights.

- Bond Analysis & Investment Recommendations: Analyze bonds and other fixed-income securities based on capital structure and relative value assessments. Provide clear buy, sell, and hold recommendations based on a holistic analysis of credit risk, yield spreads, bond covenants, maturity structures, and market pricing.

- Mentorship & Team Collaboration: Work with a mentor and lead junior/intermediate analysts, guiding them in the production and maintenance of credit write-ups. Offer insights, share knowledge, and review their work to ensure high-quality research output and team development.

- Financial Modeling & Forecasting: Develop and maintain sophisticated financial models and spreadsheets, including quarterly and annual forecasts for new and existing issuers. These models should capture key financial metrics and scenario analyses to support credit assessments and investment decisions.

- Capital Structure & Covenant Analysis: Conduct in-depth capital structure analysis, examining the seniority and subordination of different debt instruments, bond indenture screening, and covenant analysis. Use this information to assess potential risks and ensure compliance with debt covenants under various scenarios, including default and recovery analysis.

- Stress Testing & Scenario Analysis: Perform stress testing and scenario analysis to understand how adverse macroeconomic or company-specific events might impact the credit quality of issuers. This includes analyzing sensitivity to changes in interest rates, commodity prices, or regulatory shifts.

- Timely Research Delivery: Work under tight deadlines to produce high-quality credit research in a timely manner. The role requires the ability to manage multiple projects simultaneously and prioritize tasks effectively to meet client expectations.

- Cross-functional Project Collaboration: Show flexibility and adaptability in working across multiple projects within the fixed-income domain, supporting various client needs, research initiatives, and sector-specific deep dives.

- Client Interaction and Presentation: Engage with clients to present research findings, discuss market outlooks, and provide detailed analysis of issuers or sectors. This may involve preparing and delivering presentations or participating in client calls to explain recommendations and address queries.

- Market and Industry Research: Continuously monitor developments in the fixed-income market, stay informed of new bond issuances, rating changes, and industry news. Use this knowledge to provide timely insights and updates to clients and internal teams.

- Regulatory and Risk Assessment: Stay abreast of regulatory changes and global risk factors that might impact credit markets. This includes tracking changes in fiscal policies, central bank regulations, or trade policies that could alter credit conditions.

- Credit Risk Management: Assess credit risk not only at the issuer level but also across portfolios to identify potential areas of concern and mitigate risk exposure for clients. Use portfolio-level analysis to evaluate risk concentration and diversification strategies.

- Continuous Learning and Development: Stay up to date with emerging trends in the fixed-income market, new financial products, and advancements in credit analysis methodologies. Participate in ongoing training sessions, conferences, and webinars to enhance expertise and bring cutting-edge insights to the team and clients.

- Technology and Tools: Utilize advanced financial tools and databases such as Bloomberg, Refinitiv Eikon, and Moody's Analytics to gather data, track market trends, and perform credit analysis. Familiarity with credit rating methodologies, bond yield analysis, and financial ratios is critical for this role.

Key Skills :

- MBA or equivalent in Finance /CFA/CA.

- 5+ years of experience in covering Emerging market (EM) or Frontier market corporate credits in Banking and financial services sector

- Ability to prepare detailed financial models with forecasts as well as articulate and present viewpoints.

- Able to work independently and in a global team set up to take on initiatives with a positive attitude.

- Good attention to detail.

- Strong oral and written communication skills.

- Self-motivated individual with strong analytical ability and entrepreneurial thinking, a high degree of independence, and a willingness to make above-average commitments.

- Well-versed with Microsoft Word, Excel, PowerPoint, Refinitiv Eikon and Bloomberg.


Functional Areas: Banking/Insurance

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