Associate Credit Analyst
Invesco
About Invesco As one of the world's leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients. By delivering the combined power of our distinctive investment management capabilities, we provide a wide range of investment strategies and vehicles to our clients around the world. If you're looking for challenging work, intelligent colleagues, and exposure across a global footprint, come explore your potential at Invesco. What's in it for you? Our people are at the very core of our success. Invesco employees get more out of life through our comprehensive compensation and benefit offerings including:
- Flexible paid time off
- Hybrid work schedule
- 401(K) matching of 100% up to the first 6% with a discretionary supplemental contribution
- Health & wellbeing benefits
- Parental Leave benefits
- Employee stock purchase plan
- Perform fundamental credit analysis of current and potential holdings, including review of issuer financial condition, legal structure, business profile, liquidity profile, capital structure, investment suitability, and key credit risks.
- Build and maintain deep sector expertise across assigned coverage areas, developing a strong command of issuer fundamentals, sector dynamics, market structure, regulatory developments, rating agency perspectives, and emerging risks or opportunities.
- Develop and articulate defensible credit recommendations and issuer reviews supported by financial analysis, market data, rating agency materials, sell-side research, and internal research.
- Serve as a member of the Global Liquidity Research Committee, contributing to the review and approval of issuers and securities for purchase by portfolio managers.
- Collaborate with portfolio managers to evaluate securities within portfolio objectives, fund restrictions, regulatory requirements, liquidity needs, and approved credit parameters.
- Actively participate in broader Invesco Fixed Income sector teams by sharing sector views, issuer updates, and market insights with analysts and investment colleagues across strategies.
- Cultivate relationships with sell-side sales, origination, and research teams, as well as rating agency analysts and other external market participants, to support issuer surveillance, market awareness, and credit analysis.
- Contribute to client-facing materials, client presentations, thought leadership, market updates, and internal presentations that communicate Global Liquidity credit views and relevant market themes.
- 1-3 years of experience in financial services, credit analysis, accounting, investment research, portfolio management, or a related analytical role.
- Bachelor's degree in Finance, Accounting, Economics, Business, or a related field; progress toward CFA designation or an advanced degree is preferred.
- Working knowledge of financial statement analysis, credit fundamentals, accounting concepts, market data, and investment research methods.
- Familiarity with money market funds, short-duration fixed income, SEC Rule 2a-7, rating agency methodologies, or investment management regulation is preferred.
- Strong analytical and quantitative skills, with the ability to interpret financial data, identify key risks, and develop well-reasoned conclusions.
- Effective written, verbal, and interpersonal communication skills, including the ability to simplify complex information for portfolio managers, analysts, clients, and other stakeholders.
- Proficiency with Bloomberg, Excel, PowerPoint, Word, and Microsoft Copilot or similar AI-enabled productivity tools, with the ability to use technology responsibly to improve research efficiency, drafting, organization, and workflow productivity while maintaining analytical judgment, confidentiality, and quality control.
- Intellectual curiosity, commitment to developing sector expertise, high standards of accuracy and integrity, strong attention to detail, and the ability to manage priorities under time-sensitive conditions.
Vacancy posted 2 days ago
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