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AVP Fixed Income Analyst (Hybrid)

ACG Resources – Adams Consulting Group

New York (NY)

Hybrid

USD 130,000 - 160,000

Full time

30+ days ago

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Job summary

An established industry player seeks a dynamic AVP Fixed Income Analyst to join their hybrid team in Manhattan. This role involves conducting in-depth credit analysis and financial modeling to identify lucrative investment opportunities in corporate bonds. You'll collaborate with global teams to refine investment strategies and present your findings to portfolio managers. With a focus on analytical skills and market research, this position offers a unique chance to impact investment decisions significantly. If you are detail-oriented and thrive in a collaborative environment, this opportunity is perfect for you.

Qualifications

  • 3-5 years of experience in credit analysis and fund investing.
  • Strong command of MS Office and advanced Excel skills.

Responsibilities

  • Conduct credit analysis and financial modeling for investment-grade bonds.
  • Create reports on potential investments and engage with management.

Skills

Credit Analysis
Financial Modeling
Analytical Skills
Communication Skills
Detail Oriented

Education

Bachelor’s degree in Finance, Accounting, or Economics
MBA or CFA designation

Tools

MS Office
Excel
Bloomberg

Job description

To Apply for this Job Click Here

Job Ref: 14821

Salary: $130000 – $160000

AVP Fixed Income Analyst Hybrid
located in Manhattan
Exempt, annual base salary $130,000 – $160,000 + eligibility for a discretionary bonus based on qualitative and quantitative factors.
The office is on a hybrid schedule requiring at least three days in the office per week.
Responsibilities
  1. Credit Analysis & Financial Modeling:
    • Conduct thorough fundamental credit analysis with a focus on financial modeling to identify profitable investment-grade and high-yield corporate bonds.
    • Develop and maintain detailed earnings reports that include financial projections, credit valuation, and investment recommendations.
  2. Investment Recommendations:
    • Create and present in-depth reports on potential investments to portfolio managers (PMs), highlighting key findings and recommendations.
    • Engage with management to discuss and refine investment ideas and strategies.
  3. Market Research & Idea Generation:
    • Liaise with industry contacts to uncover new investment opportunities.
    • Collect and analyze market information to develop and refine investment ideas.
  4. Global Coordination:
    • Work with global teams, particularly in Tokyo, to ensure comprehensive and timely research.
    • Share insights and updates with international teams to support global investment strategies.
Qualifications:
  • Bachelor’s degree in Finance, Accounting, Economics or equivalent concentration; MBA and/or CFA designation preferred.
  • At least 3-5 years of experience in credit analysis, fixed income and fund investing with an understanding of the wider financial environment; both buy-side and sell-side corporation experience are welcome.
  • Strong command of MS Office software and advanced Excel; proficiency with Bloomberg and related automated research tools.
  • Company research, asset valuation and relative value analysis capabilities required.
  • Outstanding analytical, financial modeling, written and verbal communication skills; ability to persuasively present recommendations of profitable investment ideas.
  • Detail oriented, pro-active and able to excel in a highly collaborative global team.
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