What are the responsibilities and job description for the Senior Credit Analyst position at Obra Capital?
Company Overview
Obra Institutional Credit (OIC), a subsidiary of Obra Capital Inc. is a leading independent asset management and investment research firm specializing in high-yield bonds and leveraged loans with a strong focus on rigorous, bottom-up credit analysis. OIC’s clients include industry-leading wealth managers, large public pension funds, and other leveraged finance investors.
Position Overview
OIC is seeking a Senior Vice President- Credit Analyst to join our team located in Montpelier. This position will be responsible for doing research into high yield corporate debt with a particular focus on financial services and technology clients. Day-to-day will include researching and analyzing high yield credit investments, providing credit ratings and recommendations, and monitoring and reporting on credit markets for our institutional and private clients.
Responsibilities
Obra Institutional Credit (OIC), a subsidiary of Obra Capital Inc. is a leading independent asset management and investment research firm specializing in high-yield bonds and leveraged loans with a strong focus on rigorous, bottom-up credit analysis. OIC’s clients include industry-leading wealth managers, large public pension funds, and other leveraged finance investors.
Position Overview
OIC is seeking a Senior Vice President- Credit Analyst to join our team located in Montpelier. This position will be responsible for doing research into high yield corporate debt with a particular focus on financial services and technology clients. Day-to-day will include researching and analyzing high yield credit investments, providing credit ratings and recommendations, and monitoring and reporting on credit markets for our institutional and private clients.
Responsibilities
- Oversee all aspects of fundamental investment research and diligence of performing credits, with a primary focus on financial services and technology companies, including industry and company analysis, financial modelling, and contract analysis.
- Analyze various credits by utilizing cash flow models to value debt investments.
- Collaborate and communicate information with members of the team across multiple offices (PMs, research, trading)
- Maintain strong ties with sell-side, buy-side, advisors lawyers and other industry professionals.
- Evaluate the creditworthiness of corporate issuers by assessing financial statements, income statements, balance sheets, cash flow statements, and key financial ratios. Identify risks and opportunities related to credit quality.
- Perform thorough company due diligence, including analyzing business models, competitive positioning, and growth prospects. Understand company strategies and management teams to assess their impact on credit risk.
- Monitor market conditions and industry dynamics to identify emerging trends, potential risks, and investment opportunities. Provide insights into market trends that may impact high yield credit performance.
- Develop comprehensive credit risk assessments and assign appropriate credit ratings to issuers. Present findings and recommendations to portfolio managers and investment committees.
- Create and maintain financial models to forecast cash flows, assess debt repayment capacity, and project credit performance under various scenarios.
- Participate in due diligence meetings and discussions with company management, industry experts, and other stakeholders to gather relevant information.
- Prepare detailed and concise reports on credit analysis, including risk assessments, investment rationales, and credit outlooks.
- A bachelor's or master's degree in finance, economics, or a related field.
- 5 years of relevant work experience in credit analysis, preferably at a top tier investment bank, private equity firm, and/or a comparable role at another firm investing in broadly syndicated leveraged loans and high yield bonds.
- Experience within the financial and technology sectors preferred
- Proficiency in financial modeling, financial statement analysis, credit risk assessment and valuation expertise.
- Ability to dive deep and create detailed research with an appreciation for broader sector trends.
- Excellent analytical skills and attention to detail.
- Strong written and verbal communication skills, including the ability to present complex ideas clearly and concisely.
- Familiarity with industry databases, financial data sources, and market research tools.
- Ability to work collaboratively in a fast-paced, team-oriented environment.
- Professional certifications such as CFA, CPA, or similar qualifications will be a plus.