Senior Credit Strategist, Portfolio Strategy

Dartmouth Partners

Boston (MA)

On-site

USD 120,000 - 180,000

Full time

8 days ago
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Job summary

Dartmouth Partners is seeking a Credit Strategist to join the Portfolio Strategy team in Boston. This role sits at the intersection of credit markets, asset allocation, portfolio construction and risk management, shaping top-down views that influence capital allocations across credit asset classes.

You will develop forward-looking theses, analyze value across public and private credit, monitor exposures and risk, and present actionable ideas to senior investment professionals and stakeholders.

Qualifications

  • 5+ years of experience in credit research, portfolio strategy, asset allocation or related investment function.
  • Strong knowledge of public and/or private credit markets and factors driving performance.
  • Ability to connect macro developments to investment and portfolio implications.
  • Excellent analytical, quantitative and research skills with clear recommendations.
  • Strong communication and presentation skills with experience influencing senior stakeholders.

Responsibilities

  • Develop and communicate forward-looking views on credit markets and translate into portfolio positioning.
  • Analyze relative value across public and private credit markets including various credit sectors.
  • Monitor market trends, exposures and risk factors to identify opportunities and concerns.
  • Conduct thematic, macroeconomic and market research to support strategy decisions.
  • Present actionable investment recommendations to senior investment professionals.

Skills

Credit research
Portfolio strategy
Asset allocation
Portfolio management
Macro analysis
Quantitative analysis
Communication

Job description

Dartmouth Partners is seeking a Credit Strategist to join the Portfolio Strategy team in Boston. This role sits at the intersection of credit markets, asset allocation, portfolio construction and risk management, shaping top-down views that influence capital allocations across credit asset classes.

You will develop forward-looking theses, analyze value across public and private credit, monitor exposures and risk, and present actionable ideas to senior investment professionals and stakeholders.

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