2 – 4 years’ experience working on the buyside or sell side in EMEA distressed, special situations, and private credit markets
Prior established relationships with restructuring community (both advisory firms and other buy-side firms) to drive idea flow as well as ease execution of ideas where collaboration with other debt holders is required or desirable
Has prior experience within either a private equity, asset management firm or a hedge fund
Strong work ethic and integrity; you should be a team player that is proactive and self-motivated
Good communicator, strong written and oral presentation abilities; needs to be persuasive and credible
Ability to navigate a complex global organization
Strong educational pedigree
Language proficiency, professional relationship, and cultural familiarity in certain EMEA markets is a plus
Responsibilities
Analyze and underwrite complex corporate credit investments with meaningful total return opportunities
Help source differentiated distressed, special situations, and private credit investment ideas in both secondary and primary markets
Drive negotiation and documentation of restructurings and special situations direct lending deals
Interact extensively across the private and public desks with portfolio managers/traders to implement strategies
Work across the global platform to source opportunities