Join a high-calibre, values-driven investment team where technical excellence, integrity, and collaboration are central to everything they do. This is a compelling opportunity for an experienced Senior Credit Analyst to play a pivotal role in shaping and managing credit risk across sophisticated investment portfolios.
In this role, you will take ownership of the firm’s credit risk framework, delivering in-depth sector, issuer, and transaction-level analysis across listed and unlisted instruments. You will be closely involved in the full deal lifecycle—supporting due diligence, structuring, negotiations, and drawdowns—while continuously monitoring credit exposure post-investment through robust dashboards and analytics. The position also offers strong market exposure, with responsibility for monitoring domestic and global trends and contributing to high-quality credit and market reporting for internal stakeholders and clients.
The ideal candidate holds a BCom in Finance, Accounting, Economics or a related field, with CA or CFA designation preferred, and brings 7–10 years’ experience in commercial credit, structured credit, project finance, or securitisation. Advanced Excel capability, comfort with large datasets, and experience using Bloomberg, Reuters, or credit analytics systems are essential, along with strong analytical judgement and clear communication skills.
