Sobre o nosso clienteOur client is a leading investment bank institution dedicated to fostering innovation, economic growth, and financial solutions.DescriçãoPortfolio Management: Assist in managing a portfolio of high-yield bond investments, performing analysis, monitoring performance, and ensuring adherence to investment strategies.Investment Analysis: Conduct market research, financial modeling, and credit analysis to assess investment opportunities in high-yield and leveraged finance sectors.Market Monitoring: Stay updated on market trends, credit quality, and sector developments, and provide insights on potential impacts to portfolios.Risk Management: Support the team in identifying, assessing, and mitigating risks associated with high-yield bonds and leveraged finance transactions.Reporting & Documentation: Prepare reports, presentations, and documentation to support investment decisions and communicate portfolio performance to stakeholders.Collaboration: Work closely with senior portfolio managers, analysts, and other team members to ensure seamless portfolio management and adherence to investment policies and goals.Perfil idealBachelor's degree in Finance, Economics, Business Administration, or a related field.1-3 years of experience in finance, investments, or portfolio management; experience with high-yield bonds or leveraged finance is a plus.Strong understanding of financial markets, credit analysis, and investment principles.Proficiency in Microsoft Excel, financial modeling, and Bloomberg or other financial data tools.Excellent analytical skills, attention to detail, and a proactive approach to learning.Strong verbal and written communication skills in English; Portuguese proficiency is a plus.VantagensA good opportunity for your professional growth.
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