Build out coverage and assume responsibilities for multiple High Yield corporate credit sectors
Produce applicable trade recommendations and relative value analysis for Portfolio Management
Conduct fundamental credit analysis including financial modeling, covenant review, capital structure assessment, and event-driven catalyst identification
Monitor portfolio holdings and watchlists, flagging risks and opportunities as they emerge
Stay ahead of market-moving developments across sectors—earnings, refinancings, M&A, rating actions, technicals
Leverage analytical tools to enhance workflow efficiency, synthesis, and speed of analysis
Collaborate with Portfolio Management in a remote, high-trust environment
Requirements
2+ years of experience in High Yield corporate credit analysis
Multi-sector coverage experience: Analyst background with the ability to move fluidly across subsectors.
Experience generating trade ideas quickly and combine information under pressure
Technical skills: Excel, Bloomberg, and comfort using AI tools to accelerate research and workflows
Self-starter mentality: You excel with autonomy and deliver high-quality work
Collaborative mindset: You work well in a small, remote team where communication skills are necessary.
Benefits
Comprehensive medical, dental, vision and wellbeing benefits
Competitive 401(k) contribution
Pension plan
Annual incentive
9 paid holidays
Paid time off program (23 days accrued annually for full-time employees)
Student loan repayment program
Paid-family leave
High Yield Corporate Credit Analyst at American Family Insurance | JobVerse