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Credit Analyst (Remote)

Quik Hire Staffing
Abu Dhabi, UAE
Contract
Mid
Remote
1 months ago
Credit AnalysisDebt InvestingUnderwritingFinancial ModelingCash Flow AnalysisLBO Modeling
Free

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Credit AnalysisDebt InvestingUnderwriting
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Role Overview

  • We are hiring for one of our clients, seeking a Credit Investment Analyst to work on a contractual basis.
  • This Credit Investment Analyst will apply their expertise to help train next generation AI systems, focusing on credit and debt investing to evaluate and analyze a broad range of credit instruments.
  • The work of the Credit Investment Analyst will shape how models learn, reason, and perform through high quality, real world input, specifically in the finance domain.

Key Responsibilities

  • Leverage deep knowledge of credit and debt investing to evaluate and analyze a broad range of credit instruments, including high yield bonds, leveraged loans, and structured credit products.
  • Conduct thorough underwriting and due diligence reviews, assessing capital structures, covenants, and liquidity profiles to inform robust investment recommendations.
  • Develop and refine cash flow, 3 statement, LBO, and downside/stress case models to assess default risk, recovery analysis, sponsor quality, and refinancing risks.
  • Analyze spreads, yields, and relative value opportunities across public and private credit markets to optimize risk adjusted returns in portfolio construction.
  • Review complex legal documentation, focusing on covenant packages and protections for various credit structures.

Required Skills & Qualifications

  • The Credit Investment Analyst should have 2–6 years of experience in credit and debt investing, with a strong understanding of underwriting, leveraged financing, and private credit.
  • The ability to conduct thorough underwriting and due diligence reviews, assessing capital structures, covenants, and liquidity profiles, is essential for this role.
  • Experience in developing and refining cash flow, 3 statement, LBO, and downside/stress case models to assess default risk, recovery analysis, sponsor quality, and refinancing risks is required.
  • The Credit Investment Analyst should be able to analyze spreads, yields, and relative value opportunities across public and private credit markets to optimize risk adjusted returns in portfolio construction.
  • Strong knowledge of covenant review, capital structure, and cash flow analysis is necessary for success in this position.

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