jobseeker Logo
Now Apply on the Go!
Download iimjobs Jobseeker App and get a seamless experience for your job-hunting
06/01 Pallavi Gajankush
HR at Sutherland Global Services Private Limited

Views:529 Applications:46 Rec. Actions:Recruiter Actions:41

Sutherland Global Services - Senior Credit Researcher/Senior High Yield Credit Analyst (4-9 yrs) Premium

Navi Mumbai/Mumbai Job Code: 1029053

We have an opportunity for Sr High Yield Analyst with Sutherland. Attached is the JD for same.

A brief introduction on Sutherland:

Sutherland Global Services is a process transformation company with over 30 years of experience in serving customers across industries such as BFSI, healthcare, retail, travel, telecom and technology. Our process transformation services innovate at the intersection of business and technology to transform processes that realize our client's vision. We are experts in accelerating performance and achieving high[1]impact outcomes through winning execution strategies across the entire business and customer lifecycle. Over the past three decades, we have served over 120 Fortune 1000 clients and delivered 43 million transactions a month backed by our digital capabilities across 19 countries.

Our research portfolio includes a host of knowledge services spanning financial and investment research, macroeconomics research, market research, business research and consulting, analytics and support services. We have over a decade of experience in serving the business and strategic growth needs of 120+ multinational clients through our research and consulting services

Link : - https://www.sutherlandglobal.com/

Description:

- Sutherland is seeking to fill a Senior High Yield Credit Analyst. As a part of Credit Research As a part of the Credit Research Team, you will work with a group of investment professionals to maximize the risk/return potential of high yield investments while also collaborating with the larger Credit Research team.

- The Senior Analyst will be responsible for the credit coverage of a few major sectors and multiple individual company positions. Research delivery will include supporting primary and secondary trades while maintaining portfolio coverage on existing exposures.

- The candidate is required to have a good understanding of one or many fixed income asset classes, such as High Yield Bonds, and Leveraged Loans.

- The candidate should have prior experience towards supporting on primary and secondary deals by developing extensive financial models with multiple forecast scenario workouts and drafting of Investment Memo in an efficient and time-bound manner, together with excellent written & verbal communication skills to interact with onsite analysts and portfolio managers; which are some prerequisites for the role.

- The team works as the virtual front-end analysts for clients, helping them find value in potential investment opportunities and thereafter, monitor the investment's performance

Responsibilities:

- Monitor single name corporate credit situations in North America across performing and opportunistic strategy in both leveraged loan and high yield markets

Perform investment research, including:

- building financial models with KPI driven Revenue models, Cost drivers, Working capital analysis, Capex schedule, Capital Structure forecast, Covenant analysis, Default & Recovery workouts and IRR sensitivities;

- Term sheet preparation from credit agreements and bond indentures

- Drafting Investment Memos including identification of investment catalysts and provide recommendations on high yield bonds/loans, including fundamental and relative value views for primary and secondary trades

- Maintain portfolio coverage including model updates and earning summary write-ups, while maintaining regular news on the portfolio

Qualifications:

To succeed in this position, you must have:

- MBA or equivalent in Finance from premier institute/CFA/CA

- Minimum of 4-5 years of buy-side or sell-side experience covering single name corporate credit in high yield markets, across Leveraged Loans and/or Bonds asset classes

- Proficiency in building extensive financials models with 3-statement forecast (all interlinked) and developing base and downside cases

- Experience in writing Investment Memos covering primary and secondary trades

- Generalist with good sector exposure in any of TMT, Healthcare, Autos, Manufacturing, Oil & Gas sectors

- Proficiency in using Databases & Portfolio Asset Management Systems- Bloomberg, CapIQ, FactSet, Syndication sites, Everest, eFront

- Ability to work under pressure and deliver high-quality research in a timely manner

Women-friendly workplace:

Maternity and Paternity Benefits

Add a note
Something suspicious? Report this job posting.