Description
Position Overview
Sector specialisation will centre on corporates in Asia ex-Japan across investment grade and high yield. Ability to cover financials is a plus.
Responsibilities
- Perform fundamental analysis including modelling to generate idiosyncratic credit alpha for our client portfolios.
- Monitor performance and holdings relative to investment objectives, benchmarks and outlook.
- Produce both written and oral relative value recommendations.
- Collaborate with other debt and equity analysts and portfolio managers as the credit expert on the covered industries.
Basic Qualifications
- Experience as an Asian exJapan corporate sector analyst, ideally for a minimum of 4 years. Time spent in equity coverage will count towards the experience qualification.
- A strong academic record including a first or uppersecond class degree and either a post graduate qualification, completion of the CFA or equivalent.
- Independent thinker with the ability to hold contrarian views.
- Ability to work effectively both independently and in a team environment with limited supervision.
Personal Qualities
- Strong analytical skills, a curious mind and ability to make sound judgments.
- Highlydeveloped sense of teamwork and able to work collaboratively across the wider credit team.
- Able to work with mínimal supervision in a very dynamic work environment.
- Able to operate effectively under pressure and deliver to demanding deadlines.
- Accuracy and attention to detail are critical.
Preferred Qualifications
- Python, R, Java experience/qualifications.
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