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Analyst, Portfolio Analytics, Global Fixed Income – Charlotte, NC

29 October 2014

 babson

 

Analyst, Portfolio Analytics, Global Fixed Income – Charlotte, NC   (Reference Code:  0002-NC50732699_001)

 

 

 

Company
Babson Capital Management and its subsidiaries serve institutional investors around the globe and have over $206 billion in assets under management as of September 30, 2014. Through proprietary research, analysis and a focus on investment fundamentals, the firm develops products and strategies that leverage its broad expertise in global fixed income, equities, alternatives, structured products, debt financing for corporations and debt and equity financing for commercial real estate.

The firm maintains a strong global footprint with operations on four continents, and with major offices in Charlotte, Springfield, Boston, New York, Chicago, Los Angeles, London, Hong Kong, Tokyo, Sydney and Melbourne. Babson Capital is a member of the MassMutual Financial Group.

Job Summary
Babson Capital Management has an opening for an Analyst in the Portfolio Analytics Group within Global Fixed Income. The candidate selected will work closely with many areas in the group including portfolio managers, product managers and research analysts to support portfolio and business management initiatives. The position will report to a Managing Director within the group and will be based in our Charlotte, NC office.

Primary Responsibilities
Detailed analytical work evaluating existing portfolios and developing new portfolios, primarily in:
# Leveraged loans,
# High yield bonds, and
# Structured credit investments

Qualifications
# Bachelor’s degree (major in finance, economics or accounting preferred)
# At least 3 years of professional experience related to credit analysis, capital markets or other investment related experience with a preference for somebody that has experience working in the high yield credit markets
# Demonstrated knowledge of capital markets with a strong understanding of the leveraged loan, high yield bond and structured credit markets
# Very strong Microsoft Excel abilities, with ability to apply these skills to statistically evaluate investment portfolios, and proficiency with other MS Office products
# Proficiency with Bloomberg and other market analytical tools a plus
# Ability to work as a member of a fast-paced, transaction oriented team and independently as necessary
# Strong organizational skills

Apply online    (Reference Code:  0002-NC50732699_001)

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