Director

Northwestern MutualMilwaukee, WI
Onsite

About The Position

Conducts fundamental emerging markets credit research across sovereign, quasi-sovereign, and corporate issuers to develop forward-looking credit views and issuer-level risk assessments. Monitors macroeconomic, political/geopolitical, operating, and capital trends across regions and sectors; synthesizes financial and qualitative inputs into clear, actionable conclusions. Builds issuer and country frameworks using scenario and stress analysis; produces concise written research and investment recommendations; and applies data, technology, and AI-enabled tools to improve efficiency. Partners across the investment platform to drive a consistent credit philosophy and support portfolio construction and risk management.

Requirements

  • Five years or longer of relevant work experience conducting sovereign or corporate credit analysis.
  • Bachelor’s degree with an emphasis on finance, accounting, economics, statistics, or other related area.
  • Strong analytical skills, including understanding economic trends, performing financial statement analysis, evaluating cross-sector relative value, and presenting credit recommendations for potential investment opportunities.
  • Effective oral and written communication skills and demonstrated ability to prioritize work.

Nice To Haves

  • Economics background is a plus.
  • Master of Science or Master of Business Administration (MBA) preferred.
  • CFA designation or progress towards attaining the CFA designation recommended (not required).
  • Proficiency with Bloomberg, Blackrock Aladdin, and other programming or data analytic tools is desirable.

Responsibilities

  • Applies deep expertise in emerging market credit across sovereign, quasi-sovereign, and corporate issuers in investment-grade and high-yield segments.
  • Executes fundamental credit analysis, including financial statement review; cash flow and balance sheet assessment; leverage and liquidity analysis; covenant and capital structure review; and evaluation of management and governance quality.
  • Builds and maintains financial models, including base-case and downside/stress scenarios and recovery analysis, as appropriate.
  • Develops and communicates differentiated investment theses and relative-value views, including buy/hold/sell recommendations aligned with current portfolio strategy.
  • Monitors financial disclosures, earnings, corporate actions, rating agency actions, and market technicals; provides timely updates on credit events and market-moving news.
  • Integrates macroeconomic, political/geopolitical, and ESG factors into credit assessments, with emphasis on governance, policy/regulatory risk, and country-risk transmission to issuers.
  • Promotes a culture of mutual respect and high ethical standards.
  • Models NM Behaviors: Client First, Powered by Our People, Future Focus.
  • Exercises sound judgment and independent thinking.
  • Leads process improvement through effective use of technology and data science.
  • Responds in a timely manner to requests for data, opinions, and other information.
  • Attends and leads/participates in group activities and engages others in relevant discussion.

Benefits

  • Grow your career with a best-in-class company that puts our clients' interests at the center of all we do.

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What This Job Offers

Job Type

Full-time

Career Level

Director

Number of Employees

1,001-5,000 employees

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