Investment Grade Resume Samples
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Investment Grade Resume Samples
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BK
B Kshlerin
Bennett
Kshlerin
517 Kohler Flat
New York
NY
+1 (555) 805 5624
517 Kohler Flat
New York
NY
Phone
p
+1 (555) 805 5624
Experience
Experience
Dallas, TX
Investment Grade Analyst
Dallas, TX
Turcotte-Paucek
Dallas, TX
Investment Grade Analyst
- The successful candidate will be expected to source primary and secondary investment ideas within their sector coverage using a bottom-up fundamental investment approach
- The analyst will be expected to evaluate management, understand a firm’s competitive position, evaluate the quality of its assets, deal structure and covenant analysis
- Provide detailed financial models and written company reports, and monitor consistently assigned sectors on an ongoing basis
- Hard-working, diligent
- Collaborate with other research team members to produce industry outlooks that influence and inform tactical and strategic investment opportunities across the entire investment portfolio
- Concise written and verbal communication on investment recommendations to portfolio managers, director of research, and research team members
- Assist in evaluating private capital transactions within your sector coverage responsibility
Dallas, TX
Investment Grade Financials Trader
Dallas, TX
Dach, Tremblay and Gislason
Dallas, TX
Investment Grade Financials Trader
- Instigating and distributing secondary trading opportunities for the desk in the Corporate Bond business
- Performing Credit Analysis and Cash Flow Modelling of potential or existing portfolios
- Managing internal parties and the internal approval process and documentation for the portfolio
- Analysing market structure and the opportunities and threats there-in
- Managing financial risk and non-financial risks
- Interacting with Clients, Sales and Internal counterparties in other Trading, Coverage and Structuring functions to increase market transparency and generate new business
- Interacting with Regulators
present
Boston, MA
CIB Investment Grade Senior Banker
Boston, MA
Sanford LLC
present
Boston, MA
CIB Investment Grade Senior Banker
present
- Work with other groups within the Mizuho Financial Group around the world as part of Global Relationship Management and Business Development
- Introduce, coordinate and work with product specialists to generate cross sell across the Mizuho Global platform of products
- High-level marketing and business development capabilities for the origination of banking, securities and advisory business
- Proven Relationship Management abilities
- Manage strategic banking relationships within the Energy sector
- ) Management Responsibilities
- Manage and coordinate the execution of transactions, from inception to closing
Education
Education
Bachelor’s Degree in Integrity
Bachelor’s Degree in Integrity
Kean University
Bachelor’s Degree in Integrity
Skills
Skills
- Extensive corporate finance product knowledge including credit, capital markets and derivatives as well as other financial products and services
- Relevant industry/sector knowledge; experienced in the Midstream sector
- Strong credit, analytical, quantitative, problem-solving and decision making skills
- Work with other groups within the Mizuho Financial Group around the world as part of Global Relationship Management and Business Development
- Proven Relationship Management abilities
- ) Management Responsibilities
- Manage and coordinate the execution of transactions, from inception to closing
- Superior written and oral communication skills (including presentation skills) and negotiating abilities
- Participate in civic and community affairs as a representative of the Mizuho Financial Group
- 5 or more years of Corporate and Investment banking experience including as a Global Relationship Manager (or equivalent.)
5 Investment Grade resume templates
Read our complete resume writing guides
1
Investment Grade Credit Analyst, Insurance Resume Examples & Samples
- Real-time communication of fundamental credit views and investment recommendations
- Acting as in-house Insurance sector expert and fundamental “thought leader”
- Creation and maintenance of Excel-based financial analysis and projections
- Provision of ad hoc briefing and research to portfolio managers
- Presentation of sector views and opinions both internally and at client meetings
- Participation in a variety of daily, weekly and monthly investment team meetings
- Previous Senior Analyst/Director-level experience in a top-tier credit research environment
- Detailed knowledge of European Insurance sector and issuers
- Detailed knowledge of sector regulatory frameworks for European Insurance businesses
- Thorough understanding of ratings agency methodology
- Strong corporate credit background (including bond technicals, documentation, CDS)
- Up-to-date Investment Grade relative value knowledge and keen commercial awareness
- Self-driven desire for expertise, thirst for sector knowledge and keen attention to detail
- Intellectual curiosity for new products or businesses to analyse and strong commercial acumen
- Willingness to work in a strong team-oriented environment
- Fluency in English required. Fluency in a second European language preferred
- Professional qualification in accountancy, commercial banking or CFA preferred
2
IBD, Financing Group, Investment Grade Resume Examples & Samples
- Bachelor’s Degree required, relevant banking or capital markets experience preferred
- A keen, long-term interest in investment banking and the financial markets. Specific experience in a capital markets role at a major banking firm is advantageous, but not a requirement
- Strong analytical orientation, with experience performing financial valuation analysis in Excel or similar tools
- Demonstrated interest in finance, companies, transactions and financial markets
- Exceptional communication skills, both verbal and written
- Strong technical abilities
3
Investment Grade Resume Examples & Samples
- Requires excellent interpersonal and communication skills
- High attention to detail
- Ability to maintain high standards despite pressing deadlines
- Ability to solve problems quickly and efficiently
- Strong knowledge of general business, corporate and government cultures
- Ability to handle highly sensitive, confidential and non-routine information
- Self-starter with excellent anticipation skills; problem solving; follow up
- Demonstrated dependability and sense of urgency about getting results
- Demonstrates high degree of integrity and confidentiality
- Strong organizational skills
- Comfortable working with people at all organizational levels
- Comfortable working in a sometimes hectic, high pressure environment
- Ability to display a consistent, professional degree of communication
- Ability to work well under pressure, adapt to unexpected events, and prioritize and multi- task in a deadline driven environment
- Must be able to prioritize a variety of time-sensitive tasks
- Must have excellent judgment; independent thinker and resourceful
- Strong proficiency in MS Word, Excel, PowerPoint and Outlook
- Team player with a positive attitude
- Highest degree of integrity, professionalism, diplomacy and discretion required
- Prefer 3+ years of experience
4
Senior Trader Investment Grade Resume Examples & Samples
- Executes the purchases and sales of Investment Grade Corporate (cash and CDS/CDX) and U.S. Treasury securities as authorized by Portfolio Managers and/or Senior Traders while achieving best execution
- Contributes market color and spread movements for credit positions across all sectors, maturities, and subordinations daily, communicating with multiple Portfolio Managers, Research Analysts, and Senior Traders
- Keeps Head of Trading and/or Senior Management informed of market events, credit events, data, and flows. Understands how flows in one asset class may impact spreads in other asset classes
- Understands TIAA investment goals, divergent portfolio mandates, and is able to identify and present clear and concise relative value ideas, potential trading opportunities, and direct bids and offers to the appropriate portfolio managers
- Able to develop back-up skills in Taxable and Tax-Exempt Municipal Bond space
- Builds and maintains strong business relationships with existing I-Bank Sales, Trading, and Syndicate desks
- Attend industry conferences and broker-dealer events to enhance skills, trading relationships, and build/maintain an industry network for the benefit of projecting a positive image of TIAA-CREF
- Develops relationships with TIAA research analysts to further develop an understanding of structures and underlying sector dynamics
- Works independently and is able to manage multiple tasks on the trading desk simultaneously in a highly efficient manner in a sometimes stressful & fast-paced environment
- Works with back office, middle office, compliance, and IT groups on trade and settlement issues
- Minimum of 5+ years of previous trading experience working with Investment Grade Corporate Securities on either the buy-side or the sell-side with solid knowledge of Investment Grade Markets
- Bachelor's Degree is required
- Ability to work independently to assess facts and make quick decisions and express a sound market view within a dynamic environment and achieve best execution in all trading cycles
- Superior skillset using Bloomberg, other electronic trading platforms (TradeWeb and MarketAxess), and has strong familiarity of Bloomberg AIM or an applicable order management system, in addition to strong spreadsheet skills (Microsoft Excel, Bloomberg API)
- Strong knowledge of trading protocols and procedures associated with applicable market(s) from both buy-side and sell-side perspectives
- Strong negotiation, communication, and interpersonal skills. Able to build and maintain business relationships across differing levels throughout an organization
- Masters degree and/or CFA preferred
- Team oriented individuals with ability to work well with teammates remotely
5
Investment Grade Credit Specialist Resume Examples & Samples
- Monitor corporate credits for quarterly/semi-annual earnings announcements, news flow, rating changes etc. and the timely communication of any material effects on company valuations. Appropriate documentation will be kept for each credit
- The incumbent will collaborate with an existing analyst team, and will do own credit analysis to add value from security selection
- Input into determining cross region relative value and identifying opportunities to add value to all mandates that have the ability to allocate funds to US dollar investment grade securities
- Develop portfolio management reports that are used within the Corporate Bond group in making investment decisions
- Assist in monitoring a list of approved Money Market credits
- Build and maintain relationships with sell-side brokers, including analysts and traders
- Work closely with the Canadian investment grade team and the High Yield team
- Assist with the marketing of funds through presentations, conference calls and quarterly performance write-ups
- Discuss annual reviews at Credit Review meetings as needed along with members of the Corporate Bond team and will be a member the Corporate Bond Strategy Committee
- CFA charter holder
- Relevant university degree
- Combines solid economic reasoning, including an understanding of global macro and geopolitics, with the ability to work with statistics and modelling to form judgements
- Experience managing fixed income portfolios on a value added basis with emphasis on the U.S. dollar investment grade market
- Experience evaluating corporate credits with emphasis on the U.S. dollar investment grade market
- Experience using derivatives especially as related to credit default swaps and interest rate swaps
- Excellent working knowledge of Excel/Visual Basic
6
Investment Grade Credit Analyst Resume Examples & Samples
- Evaluate and monitor the credit quality characteristics of a large portfolio of investment grade corporate issuers
- Work in close collaboration with portfolio managers, traders, and other credit research analysts to provide thorough credit opinions and actionable trading recommendations
- Assist portfolio managers in forming and implementing their investment strategies
- Contribute to all formal reports and processes (internal ratings, recommendation lists, watch lists, etc.) that enable the efficient and transparent oversight of the asset class
- Represent Credit Research in meetings with issuers, interface with TIAA-CREF’s Risk Management Team, and support TIAA-CREF goals and values
- Bachelor's degree required. MBA or CFA preferred
- At least 8 years of related corporate credit research experience with some of that time spent in a total return environment
- Broad-based knowledge of numerous credit sectors in the investment grade marketplace
- Strong quantitative, analytical, critical thinking, communication, presentation, and financial modeling abilities. Detailed knowledge and ability with Excel, PowerPoint
- Ability to collaboratively share ideas and insights with portfolio managers, traders, and fellow analysts
7
Investment Grade Salesperson Resume Examples & Samples
- Provide back-up coverage and support across the sales team
- Work with the senior sales team to develop and maintain client relationships with their assigned client list
- Maximize the amount of profitable business their accounts do with RBC
- Develop the necessary skill set to pick up coverage of accounts
- Learn about all aspects of the clients business and uncover revenue generating ideas
- Market RBC’s new issues and research capabilities
- Continually prospect for new accounts that do not have a relationship with RBC
- Introduce their accounts to other RBC capabilities beyond the fixed income and currencies business
- Escalate operational risk loss events, control deficiencies and risks that you identify to your line manager and the relevant risk and control functions promptly
- University diploma
- Knowledge of Fixed Income products including Investment Grade, Credit, High Yield, Rates & Money Markets
8
CIB Investment Grade Senior Banker Resume Examples & Samples
- ) General
- Manage strategic banking relationships within the Energy sector
- Evaluate the corporate financing requirements of an existing portfolio of Energy companies across the US and deliver the products of the Mizuho Financial Group to this client base. Develop, structure, propose and negotiate financing and non-credit transactions for existing and prospective customers
- Be the primary Mizuho contact for existing and prospective Energy industry client relationships. Maintain relationships and contacts for marketing as well as ongoing due diligence requirements to support the CFD Relationship Management Group
- Introduce, coordinate and work with product specialists to generate cross sell across the Mizuho Global platform of products
- Formulate business strategy for the Energy sector in line with Mizuho Financial Group’s global business objectives. Perform research on industry as part of the development and implementation of a comprehensive marketing plan
- Analyze the credit standing of existing and proposed clients in advance of marketing efforts and on an ongoing basis
- Manage client relationships globally to expand the global Mizuho franchise, including a particular emphasis on Securities products, M&A, and expanding business with Mizuho in Japan
- Report client comments, requirements and feedback to senior management
- ) Administrative
- Design and preparation of marketing materials and oversight of the preparation of these materials by junior staff for both credit and non-credit products
- Undertake required compliance training and testing
- ) Policy
- Understand Mizuho policies and procedures including portfolio objectives and lending guidelines
- Adhere to legal and regulatory guidelines in promoting bank’s products and services
- ) Technical Skills
- High-level marketing and business development capabilities for the origination of banking, securities and advisory business
- Proven Relationship Management abilities
- Superior written and oral communication skills (including presentation skills) and negotiating abilities
- Relevant industry/sector knowledge; experienced in the Midstream sector
- ) Management Responsibilities
- Manage and coordinate the execution of transactions, from inception to closing
- Work with other groups within the Mizuho Financial Group around the world as part of Global Relationship Management and Business Development
- Must be able to take a Leadership role and function professionally as a team player
- Participate in civic and community affairs as a representative of the Mizuho Financial Group
- Undergraduate or MBA degree in finance, business, or accounting required
- NASD Series 7 and 63 Securities license preferred
- 5 or more years of Corporate and Investment banking experience including as a Global Relationship Manager (or equivalent.)
- Strong existing relationships in the Energy sector highly preferable. Specific areas of focus will be: Downstream, Oilfield Services, Integrated, and Midstream
- Excel, Word and PowerPoint
- Superior oral/written communication skills
- Experience originating, negotiating and leading transactions
- Extensive corporate finance product knowledge including credit, capital markets and derivatives as well as other financial products and services
9
Director Corporate Finance Investment Grade Banker Development Resume Examples & Samples
- 10+ years of experience in capital markets
- 5 years of investment banking/corporate finance experience or direct interaction in a business development role with corporate CFOs / treasury staff
- Demonstrated record of professional achievement
- Detailed understanding of the debt capital markets (bonds and loans) and the roles of other key market participants
- University Degree, preferably in a business-related discipline
- Strong marketing and interpersonal skills are a pre-requisite with a successful track record of developing commercial relationship and opportunities
- Highly developed communication and presentation skills, verbal and written, with a proven track record to persuade and negotiate effectively
- Able to work independently within a strategic framework while maintaining high work standards and demonstrating excellent attention to detail
- Team-oriented, with ability to effectively build relationships both externally and internally
- Proficient with PowerPoint, Excel and experience with Bloomberg and/or other financial data platforms
- Other professional or business qualification
10
Investment Grade Credit Portfolio Manager Resume Examples & Samples
- At least 3 years of experience in the credit markets
- Strong fixed income knowledge and analytical skills
- Team player with excellent communication skills
- Keen attention to detail, organizational skills and ability to multi-task
- Proficient with Microsoft Excel, Bloomberg
- Series 7 and 66 Registration
11
Investment Grade Corporate Bond Trader Resume Examples & Samples
- Under appropriate direction, responsible for executing purchases and sales of investment grade corporate securities as authorized by Portfolio Managers and/or the Head of Trading
- Assist Portfolio Managers in the daily surveillance of institutional fixed income accounts, appropriately communicating key activity relative to account guidelines and parameters
- Provide market-related insight that helps Portfolio Managers identify relative value opportunities for the accounts
- Act as point person for credit trading for a team of Portfolio Managers overseeing Institutional, Insurance, and Retail Investment Grade Credit based portfolios. Primary point of contact with Wall Street counterparties – aggregating axes, collecting and disseminating market color, and executing trades
- Will be expected to know various client guidelines and restrictions and utilize pre-trade compliance checks
- Will interact with research partners and other internal constituents on a regular basis
- Will be expected to become a regular participant in conversations around portfolio construction
- Minimum of 3-5 years’ experience trading investment grade bond credits, preferably trading for a buy-side firm
- Inquisitive mind interested in all aspects of the fixed income markets, primarily credit investing
- Self-motivated team player with strong verbal communication skills
- Strong problem solving skills, analytical framework and computer skills with a demonstrated proficiency in Microsoft Excel, Bloomberg, MarketAxess, etc
- Comfortable interacting with and taking direction from senior investment professionals
- Able to multi task/prioritize in a fast pace environment
- CFA
12
Investment Grade Credit Analyst Resume Examples & Samples
- Strong academic credentials. A Bachelors level degree is required and a post-graduate degree or professional qualification (e.g. CFA) is preferred
- A minimum of 5-10 years of credit research experience on either the buy side or the sell side. Experience of following more than one industry in credit markets would be advantageous
- Strong analytical and communication skills (both written and oral)
- Comfort dealing with uncertainty and risk, and ability to make investment decisions that are supported by rigorous analysis and communicated with strong conviction
- Strong understanding of investment concepts, coupled with intellectual curiosity
- High level of initiative and experience developing and implementing value added investment recommendations; and
- Ability to work effectively in a small, collaborative team, while also communicating and interacting with a larger group of investment professionals
13
Investment Grade Credit Research Associate Resume Examples & Samples
- Assisting in the creation and maintenance of detailed financial models and industry databases to aid in analyzing existing and prospective investments
- Maintaining integrity of issuer data and analyses, and comparative valuation tools
- Conducting analyses of financial results with the credit analyst
- Monitoring and listening to relevant news, announcements, and conference calls
- Attending internal and external investment meetings; and
- Contributing to research agenda of coverage area and to written research and maintenance reports on companies
- A minimum of 1–3 years of research experience on either the buy side or the sell side
- Demonstrated interest in and passion for investing in fixed income; a strong desire to analyze investment opportunities in credit is required
- An undergraduate degree with a strong academic record; progress towards completion of the CFA is a plus
- Strong analytical and communication skills (both written and oral)
- Demonstrated analytical capability and financial modeling skills
- Proven organizational and time management skills as well as ability to work well under pressure
- Strict attention to detail and strong work ethic
- Curiosity and a capacity for differentiated thinking; and
- Ability to take risk, try new things, and bring a broad, differentiated perspective
14
Investment Grade Bond Team-corporate Debt Platform Resume Examples & Samples
- To provide support to senior Investment Grade Bond team-members in the origination and execution of bond issues
- To provide relevant market updates and pricing to clients in a prompt and appropriate manner
- To assist in the preparation of pitch-books to ensure they are fit for purpose and for presentation to clients –and specific to client requirements
- To coordinate client visits and to attend as/when required
- To work closely with important internal stakeholders such as syndicate, coverage and derivative teams, as well as IG Loan colleagues within CDP
- Manage the new issue process (as required) through documentation, due diligence, marketing and execution
- To assist with internal management requests for information or ad hoc projects
- Strong analytical and technical skill set
- Strong team player – cooperates and communicates at all levels
- An exceptional academic and professional record
- A proven track record of corporate bond deal experience is essential (ideally including USD transactions)
- Fluency in English is a prerequisite
- Excellent organisational skills
- Hard working, creative and ability to work autonomously at times
- Innovation: Thinks laterally to identify other sources of useful information and sees ways around obstacles and barriers
15
Investment Grade Analyst Resume Examples & Samples
- The successful candidate will be expected to source primary and secondary investment ideas within their sector coverage using a bottom-up fundamental investment approach
- The analyst will be expected to evaluate management, understand a firm’s competitive position, evaluate the quality of its assets, deal structure and covenant analysis
- Provide detailed financial models and written company reports, and monitor consistently assigned sectors on an ongoing basis
- Identify relative value among companies under coverage and across sectors within a total return environment
- Concise written and verbal communication on investment recommendations to portfolio managers, director of research, and research team members
- The candidate will be able to identify and continuously evaluate the technical, macroeconomic, political and regulatory factors that influence the security and company valuations within their sectors
- Collaborate with other research team members to produce industry outlooks that influence and inform tactical and strategic investment opportunities across the entire investment portfolio
- Assist in evaluating private capital transactions within your sector coverage responsibility
- Applicants should have a minimum of 3-5 years of relevant investment experience
- Experience in a total return investing environment
- MBA (or equivalent) preferred
- Self-motivated resourceful
- Excellent communication skills with a demonstrable capacity to articulate investment insights
- Understanding of relative value/risk return trade off over a credit cycle
16
VP Investment Grade Credit Salesperson Resume Examples & Samples
- Covering large institutional money managers for flow credit product including: IG corporate bonds, CDS, CDX and CDX Index options
- Working with syndicate on the distribution and marketing of IG, HY and EM related new issues to the real money client base
- Interacting with and providing feedback / color to the trading desk regarding daily axes and customer flows
- In addition to the IG cash product, knowledge of and ability to market other credit related products including: CLOs, Bespoke CDS tranches / portfolios, FTD baskets, and par / distressed loans
- Travel to customer offices/events to deepen relationships by providing access to trading, research and strategy related personnel
- Bachelor’s Degree in Finance or related Field
- 5 – 10 years IG sales and trading experience
- Proven track record of success penetrating credit accounts for a variety of credit products
- Strong communication skills, including capacity to present trade ideas to internal and external clients
- Strong attention to detail and interpersonal skills
- Candidate must
- Strong existing relationships across a variety of institutional accounts in the fixed income / credit space
- Series 7 and 63
17
Senior Investment Grade Credit Analyst Resume Examples & Samples
- Assume primary research coverage of investment-grade corporate issuers across a variety of corporate sectors
- Execute rigorous credit analysis leading to selection of securities that outperform benchmarks
- Present succinct recommendations with conviction to our investment team. An interest in portfolio management and risk management as well as fixed income analytics is preferred
- Proven industry knowledge and experience
- Interest in portfolio management and risk management as well as fixed income analytics is preferred
- A Bachelor’s degree and a strong undergraduate academic record is a requirement
- An MBA, CFA or other relevant degree or accreditation (or demonstrated progress towards completion) is preferred
- Your competencies
18
Investment Grade Senior Municipal Credit Research Analyst Resume Examples & Samples
- Contributes to strategic decision making by providing outlooks and actionable recommendations for investment in assigned sector (s)
- Develops and maintains productive relationships with portfolio managers, investment banks, issuers, rating agencies and fellow analysts
- Graduate degree (finance, economics, public policy/government, political science) or an equivalent combination of training and experience
- A minimum eight years progressive analytical experience in the financial industry. Five years of research experience preferred
- Proven track record of consistently adding value to investment portfolios through accurate credit opinions and investment recommendations
19
Investment Grade Financials Trader Resume Examples & Samples
- Instigating and distributing secondary trading opportunities for the desk in the Corporate Bond business
- Performing Credit Analysis and Cash Flow Modelling of potential or existing portfolios
- Running Risk / Return analysis based upon regulatory and internal requirements
- Managing internal parties and the internal approval process and documentation for the portfolio
- Interacting with Clients, Sales and Internal counterparties in other Trading, Coverage and Structuring functions to increase market transparency and generate new business
- Interacting with Regulators
- A deep understanding of the IG Bond business
- Prior experience of corporate credit analysis / financial modelling
- A clear understanding of up-coming changes to Market Structure and potential impact
- Superior communication skills (written and verbal) with strict attention to detail
- A keen interest in Financial Markets and Investment products
- Financial knowledge and experience with a Masters in Business Administration (MBA) or Chartered Financial Analyst CFA qualification (or equivalent qualification / work experience) (beneficial)
- Proficient in Microsoft Word, Excel and Powerpoint
20
UK Investment Grade Credit Sales Resume Examples & Samples
- Providing active day-to-day sales coverage and developing long-term relationships with clients
- Working closely with research and trading to deliver the Deutsche Bank franchise to clients
- Identifying and developing new client business and opportunities for cross sell into other product areas
- Experience in IG Credit Sales at a major Bank or other relevant market experience and established senior relationships with leading clients
- An understanding of macro Credit markets and a strong sense of how macroeconomic developments, be they slow moving or instantaneous impact on client strategies
- A deep knowledge of the products traded including investment grade and high yield bonds as well as over the counter derivatives including credit default swaps
- The ability to generate effective trade ideas for the client base and monetise relationships
- A track record of delivering revenue growth
- The ability to work with sales, trading and research
- Superior personal communication and interaction skills in order to develop new relationships quickly, manage multiple stakeholders internally as well as meet client needs
- An ability to develop the wider franchise beyond your client base
- Comfortable in a dynamic and fast paced environment
- A market professional
21
Fixed Income Investment Grade Resume Examples & Samples
- Work closely with portfolio managers, research analysts, traders to create and maintain model portfolios by strategy
- Work with Portfolios managers and traders to help design and implement current views
- Responsible for driving process for day to day portfolio monitoring and rebalancing
- Developing new analytics that support portfolio construction and performance monitoring
- Portfolio analysis using existing portfolio construction tools as well as creating new tools
- Automation of generation of regular portfolio monitoring reporting, and attribution
- Quantitative knowledge and or experience of portfolio construction techniques and risk management
- Strong knowledge and understanding of Fixed Income and credit markets
- Experience with developing tools and processes to organise and implement trading strategies
- Programming experience not essential but desirable
- Highly motivated with strong academic background
- Strong analytical and communication skills
- Ability to work independently within a team structure
- Flexibility, ability to learn quickly
22
Markets Investment Grade Credit Sector Specialist Financials Assoc Resume Examples & Samples
- Will cover a subset of the financial space as a lead analyst, which may include US Banks, Insurance and Specialty Finance - with secondary coverage in the remaining sectors. Will support multiple traders across cash and CDS products
- Analyst will focus on generating market commentary, relative value trade ideas and producing internally-disseminated content to keep sales/trading apprised of market moving news and views
- Monitor and evaluate desk risk positions and opine on positioning on a real time basis
- Participate in weekly sales meetings to update IG sales/trading on market news and current sector views
- Conduct company due diligence, some of which may be related to new issuance in the market
- Develop and maintain regular client communication, which may include periodic travel
- Attend company/industry presentations as part of diligence process
- A minimum of 3-5 years of experience in the Finance Sector, understanding of sector trends/themes/drivers, regulatory/political backdrop
- Credit experience preferred, but not required
- Excel/financial modelling skills, relative value analysis, bond market technicals, financial statement analysis
- Bachelor’s degree in finance, economics, mathematics, engineering or a related field required
- Strong written/verbal communication, ability to multi-task and prioritize tasks
- Ability/desire to work in a face-paced/trading environment
- Ability to work in an entrepreneurial fashion and able to be nimble in go-to-market strategy
23
Investment Grade Credit Middle Office Sales Assistant Resume Examples & Samples
- Work with the sales desk to support and provide oversight of operational components of various asset classes
- Create relationships across multiple areas of the firm including trading desks, operations, technology, legal, and compliance departments
- Complete KYC requests for new clients and remediate documentation deficiencies for existing clients
- Respond to ad hoc client requests
- Keep abreast of regulatory change and ensure that processes are continually reviewed and improved
- Engage with various business partners to resolve trade flow issues and discrepancies
- 2-5 years of Finance, Trading, Middle Office, Operations, or Project Management experience
- Ability to multitask and reprioritize as needed in a high volume time-sensitive environment
- Ability to absorb and learn from constructive criticism as an opportunity for growth
- Series 7 and 63 certifications a plus
- Familiarity with credit products (High Yield & Investment Grade) including derivatives
- Highly organized with attention to detail and excellent independent follow-through