Tikehau Capital
Credit Analyst – Associate at Tikehau Capital
Role Overview Primary activities will include, but are not limited to, research of potential investments across leverage finance (Broadly Syndicated Loans and High Yield bonds):
Act as the credit research analyst responsible for credit investments in one or more sectors;
Develop investment frameworks for relevant industries and the analysis of issuers;
Provide fundamental credit research analysis of cash flow, credit metrics, financial performance, and comparative assessment of market value within sectors;
Identify trends and changes in competitive positions within industries;
Develop models for analysis, including sensitivity analyses to assess pro‑forma and projected financial performance; incorporate the firm’s ESG framework in the analysis;
Monitor news and industry developments in the credit markets.
Qualifications
Preference for a bachelor’s degree in Finance, Accounting, Economics, Mathematics, or other relevant degrees (CFA or master’s degree is a plus);
4+ years of prior experience in fundamental research and analysis in corporates;
Fundamental understanding of the syndicated loan and bond markets;
Comfortable reading and interpreting financial statements, credit agreements, and related company documents;
Strong credit, finance, economic, business, and technical skills; strong written and verbal communication skills;
Comfortable with Excel, Word, and PowerPoint; Bloomberg is a plus;
Fluent in English.
Seniority Level Mid‑Senior level
Employment Type Full‑time
Job Function / Industry
Finance and Sales
Investment Management
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Role Overview Primary activities will include, but are not limited to, research of potential investments across leverage finance (Broadly Syndicated Loans and High Yield bonds):
Act as the credit research analyst responsible for credit investments in one or more sectors;
Develop investment frameworks for relevant industries and the analysis of issuers;
Provide fundamental credit research analysis of cash flow, credit metrics, financial performance, and comparative assessment of market value within sectors;
Identify trends and changes in competitive positions within industries;
Develop models for analysis, including sensitivity analyses to assess pro‑forma and projected financial performance; incorporate the firm’s ESG framework in the analysis;
Monitor news and industry developments in the credit markets.
Qualifications
Preference for a bachelor’s degree in Finance, Accounting, Economics, Mathematics, or other relevant degrees (CFA or master’s degree is a plus);
4+ years of prior experience in fundamental research and analysis in corporates;
Fundamental understanding of the syndicated loan and bond markets;
Comfortable reading and interpreting financial statements, credit agreements, and related company documents;
Strong credit, finance, economic, business, and technical skills; strong written and verbal communication skills;
Comfortable with Excel, Word, and PowerPoint; Bloomberg is a plus;
Fluent in English.
Seniority Level Mid‑Senior level
Employment Type Full‑time
Job Function / Industry
Finance and Sales
Investment Management
#J-18808-Ljbffr