Credit Research Analyst

Crescent Capital GroupLos Angeles, CA
Onsite

About The Position

Crescent Capital Group is seeking a highly motivated individual to join our tradeable credit team as a Credit Research Analyst. The Capital Markets Research Analyst will work with an established team of investment professionals focusing on below investment grade high yield bonds and leveraged loans in a dynamic and entrepreneurial environment.

Requirements

  • Minimum 5 years of relevant experience at an alternative asset manager in a non-investment grade credit research analyst role.
  • Bachelor's degree
  • Strong analytical skills with a high degree of detail orientation.
  • Superior communication skills (both written and verbal).
  • Exceptional relationship building and interpersonal skills.
  • Ability to work collaboratively with all levels of employees, management, and the executive team.
  • Strong organizational and project management skills, with the ability to function effectively and meet deadlines in a fast-paced environment.
  • Expertise in Bloomberg, MS Excel, Power Point, Word, and Outlook.

Nice To Haves

  • Master’s degree or CFA preferred.

Responsibilities

  • Act as the subject matter expert and primary credit analyst responsible for credit investments in a major subsector of the Corporate Index (i.e., Bank & Finance, Telecom, Cable & Satellite, and Technology, etc.).
  • Develop investment frameworks for relevant industries and the analysis of issuers with complex capital structures.
  • Provide fundamental credit research analysis of both cash flow and asset coverage, as well as comparative assessment of market value within sectors.
  • Identify trends and changes in competitive positions within industries.
  • Develop financial models for analysis, including sensitivity analyses to assess pro forma and projected financial performance and downside protection.
  • Develop, support, and defend relative value recommendations.
  • Ensure completeness of investment analysis and documentation in conformance with firm standards.
  • Maintain summary of deal comps and credit statistics to support monitoring, surveillance, and relative risk and value analysis.
  • Perform quantitative and qualitative analysis of risk and return for assigned companies and present to portfolio managers.
  • Assist in implementing risk management strategies to control drawdowns and continuously evaluate and adjust portfolio positioning to mitigate risks.
  • Publish periodic company and industry overviews pertaining to the safety of current investments and future opportunities - providing buy or sell recommendations.
  • In depth collateral and structural analysis.
  • Daily monitoring of select leveraged loan portfolios.

Benefits

  • maternity/parental leave
  • fertility benefits
  • benefits coverage for domestic partners
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