About The Position

The Multi-Asset Solutions (MAS) team at J.P. Morgan Asset Management (JPMAM) brings over 50 years of expertise in managing multi-asset portfolios. Leveraging proprietary JPMAM strategies, MAS delivers customized, cross-asset class solutions tailored to the investment management needs of institutional and retail clients. With more than $500 billion in assets under management globally, MAS offers a diverse range of multi-asset investment solutions for a broad spectrum of investors. Job summary: Job summary: As a Multi-Asset Solutions Credit Research Analyst - Executive Director on the Asset Management Multi-Asset Solutions group you will be integral to supporting the group’s overall credit research effort, with a focus on both bottom-up and top-down analysis across a diverse set of credit markets and instruments. You will collaborate closely with portfolio managers, strategists, and other research professionals to deliver actionable insights and drive investment performance.

Requirements

  • Bachelor’s degree required
  • 7+ years of experience in credit research or credit investing, ideally within buy-side asset management.
  • Deep understanding of credit markets, instruments, and fundamental analysis techniques.
  • Strong quantitative and qualitative analytical skills, with proficiency in financial modeling and valuation.
  • Excellent written and verbal communication skills, with the ability to present complex ideas clearly and persuasively.
  • Proven ability to work collaboratively in a team-oriented, fast-paced environment.
  • High level of integrity, intellectual curiosity, and attention to detail

Nice To Haves

  • Advanced degree (MBA, CFA, or equivalent) strongly preferred

Responsibilities

  • Conduct rigorous fundamental credit analysis on corporate issuers, sovereigns, and securitized products, leveraging both bottom-up and top-down approaches.
  • Develop and maintain financial models to help forecast expected returns.
  • Monitor market developments, macroeconomic trends, and sector dynamics to inform credit views and portfolio positioning.
  • Prepare and present investment recommendations, research reports, and sector outlooks to portfolio managers and the broader investment team.
  • Engage with rating agencies, buy-side, and sell-side analysts to gather information and challenge consensus views.
  • Support the integration of credit research into multi-asset portfolio construction and risk management processes.
  • Contribute to thematic research projects and support the development of proprietary credit frameworks and tools.

Benefits

  • comprehensive health care coverage
  • on-site health and wellness centers
  • a retirement savings plan
  • backup childcare
  • tuition reimbursement
  • mental health support
  • financial coaching
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