Credit Research Editor

3 days ago


India Iongroup Full time
Job Description

The Role :
We are seeking a highly skilled and a talented individual to join our Debtwire and Credit Rubric Research teams in Mumbai. As a Credit Analyst, you will provide in-depth analysis on high yield, stressed and distressed companies, while publishing credit reports, sector reports and various data reports on the same.
The candidate needs to be naturally curious and driven to analyze complex situations and be tenacious in obtaining information. He/She must haveaccounting knowledge, and a good understanding of financial statements: income statement, balance sheet and cash flows. Understanding of debt and equity securities is required.
Your expertise will contribute to investment decisions, risk management strategies, and the overall success of our clients, which are corporates, investment banks, investors such as private equity/private credit funds, hedge funds and legal advisors.
You will also be responsible for reviewing and editing North America and EMEA reports, ensuring that each report has a logical flow, coherent structure, and engaging content that resonates with our global audience.

Analyst Responsibilities:

- Analyse financial statements, including income statements, balance sheets, and cash flow statements, quarterly, half yearly and annual reports, including press releases to assess the financial health of the companies under coverage. Identify key financial ratios, build financials models, find trends and anomalies that may impact the credit quality.
- Conduct thorough fundamental analysis of companies, focusing on financial statements, capital structure and liquidity, business models and industry trends, competitive positioning, recent events and future plans. Evaluate credit risks, credit ratings and default probabilities to assess the ability of issuers to meet their financial obligations.
- Evaluate the impact of changing economic conditions and market dynamics on credit risk. Stay abreast of industry trends, market conditions, regulatory and economic changes affecting companies, potential risks and opportunities in allocated sectors, and the high yield market. Attend online conferences and seminars, whenever needed.
- Prepare comprehensive credit reports summarizing your analysis with detailed breakdown of company financials, profitability, liquidity, industry dynamics, capital structure and valuation. Clearly communicate the key factors influencing credit quality, potential risks, valuation and mitigating factors in the report.
- Work on and assist with, various weekly, monthly, quarterly, credit reports and/or special reports, including data reports and ad-hoc projects.

Editor Responsibilities:

- Editing and proofreading.
- Review and edit reports from various regions to ensure clarity, coherence, and consistency in style and tone.
- Enhance sentence structure and flow, ensuring that each report is logically organized and easy to understand, with a well-thought thesis.
- Ensure that all reports align with the company's editorial guidelines and standards and different regions maintain a consistent voice and style, reflecting the company's brand identity.
- Verify factual accuracy and consistency of information across reports and prepare final version for publication.
- Maintain the integrity of the original content while making necessary adjustments to improve readability and engagement.
- Work closely with analysts to provide constructive feedback to help them improve their writing skills and adhere to our standards.
- Ensure all reports are published in a timely manner, adhering to the content calendar.
- Stay updated on best practices in editing and content creation.
- Suggest and implement improvements to the editorial process to increase efficiency and maintain high-quality standards.
- Adapt content where necessary to suit the cultural and linguistic nuances of different regions without compromising on clarity and quality.

Qualifications and Skills Required:

- Bachelor's degree in finance, economics, or a related field is required. A master's degree in a relevant discipline or a CFA (Chartered Financial Analyst) designation is a plus.
- Preferably 1-2 years of experience as a Credit Analyst, with a focus on high yield bonds. Familiarity with fixed income markets, credit analysis, and bond valuation methodologies is a plus. Lesser experience with impeccable knowledge might be considered.
- Understanding of debt and equity securities and how news impacts prices of financial instruments. Knowledge of high yield bond market, including issuers and market participants and familiarity with credit market trends, yield spreads, and credit risk indicators is a plus.
- Strong knowledge of accountancy and finance (financial statements: income statement, balance sheet and cash flows) through degree course, work experience or graduate training programme. Ability to interpret complex financial statements, assess credit risk, and understand market dynamics. The candidate needs to be naturally curious and driven to analyze complex situations, should have strong problem-solving and critical thinking skills and be tenacious in obtaining information.
- Comprehensive knowledge of Excel and ability to use Excel formulas and build models. Proficiency in financial modelling, valuation, credit ratings and risk assessment ratios.
- Have knowledge and understanding of current AI tools, working knowledge of Python , SQL and PowerBI, with ability to use them to automate wherever possible, including data scrapping, cleaning, storing, and visualizing the same using PowerBI or other tools.
- Strong attention to detail and ability to identify and assess risks accurately. Thoroughness in conducting research and verifying data. Meticulous in reviewing content to ensure accuracy and consistency and commitment to delivering high-quality work.
- Excellent written and verbal communication skills to present complex credit analysis in a clear and concise manner. Ability to build thesis and articulate a report in a structured way. Ability to read fast and comprehend information, including quarterly and annual reports, and financial & legal terminologies.
- Excellent communication and interpersonal skills, a team player with drive and initiative to collaborate effectively with diverse teams across regions.
- Reliable, helpful and a team member with good work ethics with ability to work in a team-based environment, with a sense of teamwork and cooperation. Ability to provide clear and constructive feedback to contributors.
- Ability to manage workflow and multiple projects under strict deadlines.
- Proficiency in financial softwares such as Eikon, FactSet is a plus.

Training and success:

- The Debtwire Credit Research team is uniquely positioned to analyze companies and markets globally. Analysts will receive leveraged finance and credit analysis training. They will learn about corporate credit markets, high yield markets and detailed financial analysis, with extensive training on interpretation of financial statements and ratios, report writing and valuations. They will have the opportunity to work with a global team and contribute high-impact research content.

- Markets are constantly evolving, credit analysts will have the opportunity to continually learn and develop their skills to stay up to date with industry trends, regulatory changes, and market dynamics shaping the landscape. Our reports include credit research, earnings highlights, sector/industry reports, trackers/watchlists/monitors, highlighting individual company situations, market dynamics, sector trends, while finding investment opportunities and uncovering new business leads for our clients.
- The nature of the job is intellectually engaging, with strong analytical and critical thinking abilities, crucial for success in any career.

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