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The role focus will span internal ratings, credit analysis, portfolio analysis, deal review and approval, limits and exposures management, surveillance and counterparty risk. The role requires a minimum of 3 years' experience in the credit analysis field. Further requirements to consistently monitor and asses the companies' non-FIG portfolio across all asset classes, monitoring compliance with credit risk limits and communication of credit information. You will understand the rating agencies' criteria and methodologies applied on the companies' portfolio, monitor and analyse all rating agency actions and assess the potential implications for the portfolio. Ensure rating changes (internal and external) are captured within the companies' systems on a timely basis (same day) and are communicated to relevant parties internally.
Minimum 2:1 graded BSc or equivalent from a reputable University.
Minimum of 3+ years of experience in a similar role.
Familiarity with the fixed income market.
Knowledge of Corporate Markets.
Strong analytical skills and attention to detail with a high level of proficiency in Excel/VBA and excellent financial modelling skills.
Strategic awareness and professional maturity: enabling this individual to visualise and communicate quantitative and qualitative risks, and their implications firm wide.
A self-starting, pro-active attitude. The company operates a flat, meritocratic working environment. Candidates need to be comfortable operating autonomously and demonstrate the ability to form effective relationships and achieve influence at the most senior levels within the organisation;
London, £60,000- £80,000 plus very competitive benefits
Please note, our client is unable to offer sponsorship for this opportunity. Finally, should you not be contacted within five working days of submitting your application, then unfortunately you have not been shortlisted for the opportunity. We will however, be in touch should there be any other opportunities of potential interest that are suiting to your skills.