high-yield-bonds-jobs-in-vellore, Vellore

1 High Yield Bonds Jobs nearby Vellore

Toggle to save search
posted 2 months ago
experience2 to 6 Yrs
location
Chennai, Tamil Nadu
skills
  • Financial modeling
  • Credit research
  • Valuation
  • Excel
  • Data analysis
  • Bonds tracking
Job Description
As a support to the Credit research analyst at a top global investment bank, your role involves the following responsibilities: - Build end to end financial models for companies in coverage and peers, which includes understanding sector drivers, forecasting relevant credit metrics, and conducting valuations. - Track USD denominated bonds across the APAC region in both Investment Grade (IG) and High Yield (HY) space to suggest themes and ideas. - Update and restructure models for earnings and events. - Assist in writing earnings reports and initiation reports. - Contribute to various publications, including initiations and earning notes. - Build and update sector databases in Excel. - Provide data and analysis based on various client requests. - Conduct search and aggregation on sectors and companies. Qualifications required for this role: - Strong understanding of financial modeling and valuation techniques. - Proficiency in Excel for building and updating sector databases. - Ability to analyze and interpret data to provide insights. - Good communication skills for writing reports and publications. - Attention to detail and ability to work in a fast-paced environment.,
ACTIVELY HIRING

Top Companies are Hiring in Your City

For Multiple Roles

Jio Platforms Ltd
Jio Platforms Ltdslide-preview-Genpact
posted 1 day ago

Institutional Sales Officer

TALKS ABOUT PEOPLE HR SOLUTIONS LLP
experience4 to 8 Yrs
Salary14 - 16 LPA
location
Ahmedabad
skills
  • treasury management
  • wealth management
  • institutional sales
  • investment advisory
  • fixed deposits
  • corporate sales
  • mutual funds sales
  • mutual funds
  • family office
Job Description
Were Hiring | Manager / AVP Institutional Sales (Treasury & Investments) CTC: Up to 20 LPA** | Location: Ahmedabad Experience: 4 to 6 Years | Industry: BFSI | Investment Management | Treasury SolutionsAre you an experienced Institutional Sales professional with strong relationships across corporate treasuries, banks, NBFCs, and institutional investors Heres your opportunity to join a fast-scaling financial services organization in a high-impact role that directly engages with senior decision-makers and drives institutional growth.Were looking for a dynamic, well-networked individual with a deep understanding of fixed-income instruments, liquidity management, and treasury products to lead institutional sales across the Ahmedabad region. Key ResponsibilitiesDevelop and grow institutional client relationships across Banks, NBFCs, Corporates, FIs, and Family Offices.Drive mobilization of investments and deposits across FDs, Bonds, CPs, Mutual Funds, and Lending Products.Act as a trusted treasury advisor, providing customized investment and liquidity solutions.Work closely with internal teams Product, Compliance, Legal, and Operations to ensure seamless execution.Stay updated on market trends, yield movements, and regulatory updates to guide client strategies.Support commercial lending and deal origination through treasury networks and client referrals. Ideal Candidate Profile 59 years of experience in Institutional Sales / Treasury Sales / Corporate Banking / DCM. Strong network with CFOs, Treasurers, and senior treasury decision-makers. Expertise in fixed income, liquidity, and investment products. Prior experience with Banks, NBFCs, AMCs, or Institutional Distribution setups. NISM Series VA certification preferred. Excellent negotiation, relationship management, and deal structuring skills. High ownership mindset, strong commercial acumen, and client-first approach. Whats on OfferStrategic, high-visibility role within a growing financial services platform.Direct engagement with C-suite and institutional clients.Competitive compensation + performance-linked incentives.Opportunity to drive institutional investment strategy and expansion.Fast-tracked career growth with leadership exposure. Interested professionals can share their CVs and portfolios at: vedanti.abdeo@tapindia.co.in or on 9373270378
INTERVIEW ASSURED IN 15 MINS
posted 2 weeks ago
experience3 to 7 Yrs
location
Haryana
skills
  • Financial Modeling
  • Credit Analysis
  • Data Analysis
  • Financial Statement Analysis
  • MS Excel
  • Bloomberg
  • Communication Skills
  • Credit Risk Modeling
Job Description
As a Credit Valuations Analyst at our esteemed buy-side client's Valuations Team, your role will involve conducting comprehensive credit valuations of private companies. You will be responsible for analyzing financial statements, credit agreements, and market data to determine creditworthiness and potential risks. Your contribution will play a critical role in providing valuable insights to support informed investment decisions. Key Responsibilities: - Conduct Credit Valuations: Perform thorough credit valuations of private credit investments. - Develop and Maintain Credit Valuation Models: Create and refine credit valuation models tailored to specific asset classes. - Collaborate with Investment Team: Work closely with the Investment Team to assess and mitigate credit risks associated with existing investments. - Credit Risk Assessment: Perform thorough credit risk assessments on new investment opportunities. - Modeling and Reporting: Estimate the value of credit investments, prepare detailed credit valuation reports and presentations. - Monitor Credit Portfolio Performance: Track key credit performance indicators, identify strategies for credit risk mitigation. Requirements: - Master's Degree in Finance, Economics, Accounting, or related field. - Minimum 3 Years of Experience in credit valuations within the financial services industry. - Strong Technical Skills in financial modeling, credit analysis, and data analysis. - CFA Designation or actively pursuing the CFA program (preferred). - Advanced Proficiency in Financial Tools like MS Excel, Bloomberg, and credit risk modeling software. - Excellent Communication Skills for presenting complex credit information effectively. - Collaborative Mindset to work independently and collaboratively in a fast-paced environment. Preferred Qualifications: - Credit Risk Certification such as Certified Credit Risk Manager (CCRM) or Credit Risk Certification (CRC). - Experience with Credit Risk Models like PD models, LGD models, and EL models. - Knowledge of Credit Markets including high-yield bonds, leveraged loans, and private credit.,
ACTIVELY HIRING
question

Are these jobs relevant for you?

posted 2 months ago
experience8 to 12 Yrs
location
Hyderabad, Telangana
skills
  • Python
  • SQL
  • Data Visualization
  • Power BI
  • Asset Management
  • Private Equity
  • High Yield Bonds
  • Alternative Investments
  • Performance Reporting
  • Risk Metrics
  • Verbal Communication
  • Written Communication
  • Project Management
  • Jira
  • Confluence
  • Bank Debts
  • Bank Loans
  • Direct Assets
  • Private Credit Funds
  • Fixed Income Instruments
  • Distress Debt
  • Term Loans
  • Distress securities
  • Accounting Principles
  • Portfolio Characteristics
Job Description
As a Senior Analyst/Team Leader/AM in the Reporting & Performance (R&P) department at CES in Hyderabad, you will play a crucial role in delivering technology-enabled analyses and reporting to clients and investment professionals globally. Your responsibilities will include: - Producing analyses and reports for various client strategies on a recurring and ad hoc basis - Responding to quantitative inquiries related to strategic and capital raising initiatives - Mastering in-house system technology to efficiently source data and create new data extracts - Developing subject matter expertise on assigned strategies and being a resource to organizational partners You will also be expected to: - Utilize Python, SQL, and data visualization tools to manage and manipulate large data sets - Support the implementation of process changes and automated reports to generate standard and recurring investor reporting - Collaborate with organizational partners to advance R&P deliverables and participate in strategic projects Qualifications required for this role include: - 8+ years of experience in asset management, investment banking, or other financial services - Hands-on experience with private equity funds and various debt instruments - Strong understanding of accounting principles and concepts - Knowledge of alternative investments and relevant reporting/dashboard outputs - Experience with Python, SQL, and data visualization tools - Excellent verbal and written communication skills - Basic understanding of project management software such as Jira and Confluence is a plus Personal attributes that will contribute to your success in this role include: - Outstanding initiative and strong work ethic - Excellent interpersonal skills and ability to work cross-functionally - Detail-oriented and a natural problem solver - Organized and able to manage multiple projects with differing priorities - Team-oriented, with strong integrity and professionalism - Passion for improving systems and processes,
ACTIVELY HIRING
posted 2 months ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Asset Classes
  • Total Return Swaps TRS
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Yield curve
  • Parallel shifts in yield curve
  • Point shifts in yield curve
Job Description
As an experienced market risk professional with 3-8 years of experience in market risk measurement within an investment bank or other financial institution, you must have previous VaR or Credit Risk experience. Your knowledge in Asset Classes should include at least 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives & Structured Products. Your role will require experience and knowledge of Fixed Income and Derivatives, especially Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA etc. It is essential to have a basic understanding of pricing and valuation of these products. You should also have an understanding of key risk/profitability concepts such as Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve, parallel and point shifts in yield curve etc. Ideally, you should hold a higher degree in finance or a related area, or a professional qualification such as CFA, FRM, PRIMA. General knowledge of risk issues and investment products, along with some programming skills, would be desirable. Your ability to work well in a team, build relationships, produce high-quality work under pressure and tight deadlines, question the status quo, and provide alternative approaches will be crucial in this role.,
ACTIVELY HIRING
posted 1 month ago
experience2 to 6 Yrs
location
Maharashtra
skills
  • Financial modeling
  • Credit research
  • Valuation
  • Excel
  • Data analysis
Job Description
As a Credit Research Analyst Assistant at a top global investment bank, your role will involve supporting the Credit research analyst in his day-to-day research activities. This includes building end-to-end financial models for companies within coverage and their peers. You will be responsible for understanding sector drivers, forecasting relevant credit metrics of the company, conducting valuation, and tracking USD denominated bonds across the APAC region in both Investment Grade (IG) and High Yield (HY) space to suggest themes and ideas. Key Responsibilities: - Building end-to-end financial models for companies in coverage and peers - Understanding sector drivers and forecasting relevant credit metrics of the company - Conducting valuation - Tracking USD denominated bonds across the APAC region in both IG and HY space to suggest themes and ideas - Updating and restructuring models for earnings and events - Assisting in writing earnings reports and initiation reports - Contributing to various publications including initiations and earning notes - Building and updating sector databases in Excel - Providing data and analysis based on various client requests - Conducting search and aggregation on sector and companies Qualifications Required: - Strong financial modeling skills - Proficiency in Excel - Excellent analytical and research skills - Good understanding of credit research and valuation techniques - Ability to work effectively in a fast-paced environment - Strong attention to detail and accuracy - Bachelor's degree in Finance, Economics, or a related field - Prior experience in credit research or investment banking is preferred Please note that the additional details of the company were not provided in the job description.,
ACTIVELY HIRING
posted 1 week ago
experience3 to 8 Yrs
location
Karnataka
skills
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Total Return Swaps
  • TRS
  • Credit Derivatives
  • CVA
  • investment products
  • statistical analyses
  • Asset Classes
  • FVA
  • pricing
  • valuation
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Mark to Market volatility
  • Yield curve parallel
  • point shifts in yield curve
  • security pricing
  • interest rate curves
  • term structure sensitivity
  • risk profitability concepts
  • risk issues
  • programming skills
Job Description
As a member of the Market Risk team at Infosys Limited, your role will involve expanding the team's presence in India to support activities in data management, risk operations, product, and research. Your expertise in working with real-world data and conducting statistical analyses will be crucial for the team's success. We are seeking individuals who are motivated self-starters, team players, eager collaborators, continuous learners, and committed to going the extra mile for our internal and external clients. Key Responsibilities: - Possess at least 3-8 years of experience in market risk measurement within an investment bank or financial institution, with previous exposure to VaR or Credit Risk. - Demonstrate knowledge in Asset Classes, specializing in any 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives, Structured Products. - Exhibit experience and knowledge in Fixed Income and Derivatives, particularly in Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Showcase a basic understanding of pricing and valuation of financial products. - Understand key risk and profitability concepts including Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve parallel and point shifts, etc. - Demonstrate the ability to analyze the price of a security into its various constituent components such as interest rate curves and relevant term structure sensitivity. - Possess a higher degree in finance or related fields, or a professional qualification like CFA, FRM, PRIMA would be advantageous. - Have a general knowledge of risk issues, investment products, and some programming skills. - Ability to work effectively in a team, build strong relationships, and deliver high-quality, accurate work under pressure and tight deadlines. - Willingness to challenge the status quo, question assumptions, and provide alternative approaches. Preferred Skills: - Domain expertise in Financial Risk Management, specifically in Credit Risk Management and Market Risk Measurement & Control.,
ACTIVELY HIRING
posted 1 week ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate Derivatives
  • Total Return Swaps
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Market Risk Measurement
  • Asset Classes
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of Basis Point
  • Yield Curve
  • Parallel Shifts
  • Point Shifts
  • Term Structure Sensitivity
  • Programming Skills
Job Description
As an experienced market risk professional, you will be responsible for measuring market risk within an investment bank or financial institution. Your role will involve previous experience in VaR or Credit Risk, with a strong knowledge of Asset Classes such as Equity, Fixed Income, FX, Commodities, Derivatives, and Structured Products. Key Responsibilities: - Utilize your expertise in Fixed Income and Derivatives, focusing on Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Demonstrate a basic understanding of pricing and valuation for these products. - Apply your knowledge of key risk and profitability concepts, including Probability of Default, Event of Default, Jump to Default, Mark to Market, volatility, Yield curve, and shifts in yield curve. Qualifications Required: - Possess at least 3-8 years of experience in market risk measurement within the financial sector. - Hold a higher degree in finance or a professional qualification such as CFA, FRM, PRIMA. - Have a general understanding of risk issues, investment products, and programming skills. - Exhibit the ability to work effectively in a team, build relationships, and deliver high-quality work under pressure and tight deadlines. - Demonstrate willingness to challenge the status quo and provide alternative approaches. If there are any additional details about the company in the job description, kindly provide them for a more comprehensive understanding of the role.,
ACTIVELY HIRING
posted 2 months ago
experience8 to 12 Yrs
location
All India
skills
  • wire bonding
  • testing
  • process engineering
  • quality
  • root cause analysis
  • compliance
  • continuous improvement
  • cost reduction
  • automation
  • test engineering
  • test coverage
  • test program development
  • SPC
  • DOE
  • data analysis
  • BGA
  • flip chip assembly
  • integrated system packaging
  • equipment engineering
  • customer engineering
  • new product introduction NPI
  • equipment tooling support
  • yield improvement
  • cycle time optimization
  • Lean methodologies
  • Six Sigma methodologies
  • digitalization
  • handler setup
  • QFN
  • WLCSP
Job Description
As a Manufacturing Engineer, you will play a crucial role in overseeing and optimizing backend semiconductor manufacturing processes to ensure high-yield, cost-effective, and scalable production in a high-volume OSAT environment. Your responsibilities will include leading daily operations, supporting new product introductions, ensuring equipment and tooling support, maintaining quality and compliance standards, driving continuous improvement projects, and collaborating with test engineering for process enhancements. Key Responsibilities: - Lead daily operations for wire bond, flip chip, Integrated System Packaging, and test processes. - Monitor and control process KPIs such as yield, cycle time, throughput, and defect rates. - Drive root cause analysis and corrective actions for yield excursions and quality issues. - Support NPI activities by coordinating with R&D and customer teams. - Ensure smooth transition from engineering builds to mass production. - Validate process capability and reliability through qualification plans. - Work with equipment engineering to install, calibrate, and maintain backend tools. - Define tooling requirements, support tool buy-off and acceptance, and optimize equipment utilization. - Ensure compliance with customer specifications, JEDEC standards, and internal quality systems. - Implement SPC, FMEA, and control plans to maintain process stability. - Lead yield improvement, cost reduction, and cycle time optimization projects. - Collaborate with cross-functional teams to implement Lean and Six Sigma methodologies. - Drive automation and digitalization initiatives for process enhancement. - Coordinate with test engineering to ensure proper test coverage and correlation and support test program development. Qualifications: - Bachelors or Masters degree in Electronics, Mechanical, or Manufacturing Engineering. - 8+ years of experience in semiconductor backend manufacturing, preferably in OSAT environments. - Hands-on experience with wire bonding, flip chip attach, molding, and electrical test. - Proficiency in SPC, DOE, Six Sigma, and data analysis tools. - Strong communication and project management skills. Preferred Skills: - Experience with QFN, BGA, WLCSP, and Integrated System packaging. (Note: No additional details of the company were mentioned in the JD.),
ACTIVELY HIRING
posted 2 months ago

Sr Compliance Analyst

Allvue Systems
experience3 to 7 Yrs
location
Maharashtra, Pune
skills
  • Business Analysis
  • Compliance
  • Requirements Gathering
  • Design Documents
  • Private Equity
  • Portfolio Management
  • Financial Modeling
  • Business Requirement Documents
  • Enduser Training
  • Portfolio Modeling
  • Alternative Asset Analytics
  • Order Management Systems
  • PrePost Trade Compliance
  • Data Reconciliations
Job Description
Role Overview: As a Sr Compliance Business Analyst at Allvue Systems, you will be responsible for conducting Business Analysis related to clients" needs across various product offerings. Your role will involve requirements gathering, defining project objectives and scope, and creating high-quality Business Requirements Documents (BRDs) and Design Documents. You will collaborate with senior client contacts and internal departments such as Product, Operations, Engineering, and Client Solutions. Managing multiple initiatives concurrently at different complexity levels will be a key aspect of your responsibilities. Key Responsibilities: - Provide subject matter expertise on the business processes supported by Allvue software solutions - Participate in business requirements gathering sessions, document high-level requirements, and contribute to the estimation process - Create Business Requirement Documents (BRDs) and Design Documents for client approval and subsequent implementation by the Allvue team - Offer solutions to clients based on best practices, recommend process changes as necessary - Conduct end-user training to promote widespread adoption of Allvue software - Develop Business Requirements concerning compliance, portfolio modeling, private equity, and portfolio management implementations, capturing clients" scope and objectives, and developing thorough use cases - Collaborate with internal developers, engineers, and QA teams to ensure the product aligns with clients" needs and expectations - Communicate product defects or enhancements effectively to product team members for inclusion in the standard configuration offering - Review the final product before deployment to clients for testing and use Qualifications Required: - 3+ years of experience working with CLO and/or Fund Finance investment vehicles or equivalent - Demonstrated understanding of alternative asset (Corporate Loan, High Yield Bond, Derivatives) analytics, order management systems, and pre/post trade compliance concepts - 3+ years of experience in analytical roles, including writing business requirements and/or translating CLO indenture language - Resourceful problem solver with effective communication skills - Proficiency in using Excel for financial and analytical calculations - Experience in performing data reconciliations Additional Company Details: Allvue Systems offers a range of benefits to its employees, including health coverage options, Enterprise Udemy membership for personal and professional development courses, 401K with Company match up to 4% or Employee Pension plan, flexible PTO, Charitable Donation matching, Volunteer and Voting PTO, and various team building activities to promote collaboration in a dynamic work environment. Please note that the EEOC Statement is omitted from the provided job description.,
ACTIVELY HIRING
posted 2 months ago
experience5 to 9 Yrs
location
Bangalore, Karnataka
skills
  • Finance
  • Accounting
  • Legal
  • Compliance
  • General Operations
  • Blockchain
  • Investor Operations
  • Admin
  • Qualified Accountant
  • Financial Literacy
  • Reviewing Contracts
  • Organizational Skills
  • Detailoriented
  • Smart Contracts
  • DeFi
Job Description
In the role of Manager of Operations and Finance at HELIX, you will play a crucial role in maintaining the financial, legal, investor, and operational infrastructure of the company. You will collaborate closely with senior leadership, support cross-functional teams, and take charge of key business processes. This dynamic position is well-suited for individuals comfortable with multitasking and working independently. Key Responsibilities: - Finance & Accounting: - Prepare and maintain monthly management accounts, ensuring reconciliations, financial controls, and accounting integrity - Collaborate with external accountants and auditors for statutory filings, group consolidation, and audits - Assist in financial forecasting, budgeting, and investor/board reporting - Monitor commercial flows, rebates, token allocations, and investor entitlements - Ensure adherence to relevant regulations, accounting standards, and tax rules - Legal & Compliance: - Review and draft simple contracts such as NDAs, SAFEs, investor docs, and service agreements - Verify client profiles and documentation to guarantee onboarding compliance - Monitor key obligations and deadlines - Coordinate tax filings, corporate renewals, and economic substance filings - Manage AML/KYC processes - Investor Operations: - Maintain cap table and investor records - Prepare investor updates and facilitate due diligence responses across teams - General Operations & Admin: - Supervise deal execution and internal coordination, including document management and returns processing - Manage governance and corporate documentation across entities - Provide cross-functional support on projects involving product, fundraising, and marketing Qualifications Required: - Minimum of 5 years of experience in finance, accounting, or operations, preferably in startups, fintech, Web3, or professional services - Certified Accountant (e.g. ICAEW, ICAI, CPA, ACCA) - Strong financial acumen with a background in liaising with auditors and tax agents - Proficiency in contract review and tracking key terms and deliverables - Exceptional organizational skills, attention to detail, and the ability to handle multiple workstreams - Exposure to digital assets or Web3 operations is advantageous - Comfortable in a lean, fast-paced environment with high levels of ownership - Familiarity with blockchain, smart contracts, and DeFi is desirable About HELIX: HELIX is dedicated to building a full-stack, omni-chain stablecoin infrastructure layer to facilitate issuance, distribution, diverse yield strategies, and seamless DeFi composability through a unified, modular architecture. The company's flagship product, USHD, is a dollar-pegged, omni-chain stablecoin that fuels a groundbreaking multi-strategy RWAFi ecosystem, offering access to institutional-grade opportunities across money markets, private credit, and high-quality structured finance within a single integrated platform. HELIX, led by TradFi veterans with a proven track record exceeding $500M and zero defaults over seven years, bridges institutional trust and DeFi composability through purpose-built infrastructure, paving the way for widespread adoption of programmable finance on a large scale. Awarded the Tokenized Debt & Bond Award at the 2023 TADS Awards, HELIX is supported by renowned venture capital firms like Taisu Ventures, Saison Capital, Superscrypt, Outlier Ventures, Comma3 Ventures, Wave Digital, NewTribe Capital, Aptos, and Gallet Capital. Additionally, it has garnered backing from select angels associated with leading organizations such as Fireblocks, BlockTower, NeoClassic Capital, Algorand, Hedera, Wormhole, Synthetix, and the Milken Institute.,
ACTIVELY HIRING
posted 1 week ago
experience2 to 6 Yrs
location
Karnataka
skills
  • Investment Research
  • Financial Modeling
  • Credit Analysis
  • Financial Projections
  • Company Analysis
  • Communication Skills
  • Teamwork
  • Accounting Review
Job Description
Role Overview: As a Leveraged Finance Credit Research Analyst at Goldman Sachs Asset & Wealth Management, you will play a crucial role in the High Yield & Bank Loan investing team. Your responsibilities will include analyzing underlying sectors/sub-sectors and individual credits within those sectors, conducting sector and company due diligence, modeling company financials, and presenting high yield bond and leveraged loan recommendations to the team. You will be expected to monitor assigned coverage list credits, assess risk versus return, and identify relative value opportunities across various portfolios and credit strategies. To excel in this role, you must exhibit a strong commitment to a team-oriented culture, possess excellent financial modeling, communication, and research skills, and demonstrate outstanding critical thinking abilities. Responsibilities: - Establishing analytical frameworks to review sectors/industries - Conducting ongoing due diligence, self-monitoring of portfolio positions, and providing timely updates - Analyzing high yield and leveraged loan issuers through financial modeling, accounting review, interaction with management teams and analysts, and assessment of company communications and third-party research - Evaluating the relative value of investment opportunities by analyzing sector trends, market drivers, regulatory risks, issuer strengths/weaknesses, financial projections, and legal/covenant structure considerations - Recommending investments across different portfolios, defending recommendations with the Investment Committee team through oral and written research communications Qualifications: - 2-4 years of experience for Associate level or 5+ years for VP level in investment management or investment banking - Demonstrated interest in and commitment to investment research - Strong accounting background, financial modeling skills, and knowledge of capital structure - Excellent social and communication skills (oral and written) with a willingness to work in a team environment - Advanced qualifications such as prior High Yield and/or Leveraged Loan investing experience, detailed covenant analysis skills, stressed/distressed credit investing experience, and MBA and/or CFA study are strong advantages About Goldman Sachs: Goldman Sachs is a leading global investment banking, securities, and investment management firm founded in 1869. Committed to diversity and inclusion, the firm offers numerous opportunities for professional and personal growth through training, development programs, firmwide networks, benefits, wellness initiatives, and mindfulness programs. As an equal employment/affirmative action employer, Goldman Sachs is dedicated to providing reasonable accommodations for candidates with special needs or disabilities during the recruiting process. (Note: Any additional details about the company were not included in the provided job description),
ACTIVELY HIRING
posted 1 day ago
experience5 to 9 Yrs
location
All India
skills
  • Manufacturing
  • Quality Control
  • Statistical Process Control
  • Photonics Wire Bonding
  • Silicon Photonics Devices
  • Ribbon Bond
  • Ball Bond
  • Wedge Bond
  • Research Development
  • Optical Alignment Techniques
Job Description
As a Photonics Wire Bonding Engineer at Jabil, you will be instrumental in developing and implementing wire bonding procedures for silicon photonics devices. Your role will involve collaborating with global Subject Matter Experts (SME) and the Research & Development (R&D) team to create innovative products, optimize wire bonding processes, and assist in transitioning processes to mass production. Key Responsibilities: - Design and develop wire bonding processes for silicon photonics devices using ribbon bond, ball bond, and wedge bond methodologies. - Optimize wire bonding processes to ensure high yields and reliability, considering different wire types and bond capillary selections. - Collaborate with global SME and R&D teams to innovate new products. - Scale-up wire bonding processes for production in coordination with manufacturing teams. - Create and maintain documentation related to wire bonding processes. - Continuously enhance wire bonding processes for consistent quality and performance. - Analyze process data and implement corrective actions to improve yields and reduce defects. - Plan, conduct, evaluate, and optimize critical parameters for efficient wire bonding processes. - Work with quality and reliability teams to meet customer requirements and industry standards. - Stay abreast of the latest wire bonding technology trends and apply knowledge to enhance processes and products. Qualifications: - Bachelor's degree in electrical engineering, materials science, or a related field. - Minimum of 5 years of experience in photonics wire bonding process development and optimization. - Strong knowledge of wire bonding materials, processes, and equipment. - Experience with automated wire bonding equipment and processes. - Familiarity with optical alignment techniques and equipment. - Previous exposure to high-volume manufacturing of photonics devices. - Proficient in statistical process control and optimization techniques. - Excellent problem-solving skills and ability to troubleshoot technical issues. - Strong communication and collaboration skills in a team setting. - Experience in process documentation and quality control methods. - Knowledge of industry standards for photonics device manufacturing. If you are a qualified individual with a disability and need accommodation to access the Careers site, please email Always_Accessible@Jabil.com with your request details and contact information. Only inquiries regarding reasonable accommodation requests will be addressed.,
ACTIVELY HIRING
posted 1 day ago
experience2 to 6 Yrs
location
Maharashtra
skills
  • Financial Analysis
  • Market Research
  • Data Analysis
  • Financial Modeling
  • MS Excel
  • MS Office
  • Corporate Finance
  • Fundamental Credit Research
  • Analyst
Job Description
As a Fundamental Credit Research Analyst at Barclays, you will be responsible for analyzing the credit strength of investment grade, high yield, securitized corporate bond issuers. Your role will involve writing independent, trade ideas focused, and thematic research which will be distributed to external clients and internal business partners. Strong communication skills are essential due to the high level of interaction with various clients, internal sales and trading, corporates, as well as investment banking. The role will require you to handle a mix of repetitive and adhoc work across sectors, supporting research analysts in gathering, tracking, and analyzing relevant data to provide advice to clients for making investment decisions. Key Responsibilities: - Assist research teams with regular and adhoc tasks to write differentiated content for clients" investment decisions. - Compile historical data on stocks and companies from publicly available sources accurately and in a timely manner. - Update and maintain databases tracking relevant financial, economic indicators for the sector and region under coverage. - Monitor market news, summarize, and assess its impact on the sector or coverage universe. Desirable Skillsets: - Assist in preparing research reports, industry primers, marketing presentations, or other tasks as required by the team. - Evaluate financial documentation including annual/quarterly reports, current events, and debt covenant packages to provide sound recommendations on outstanding bonds and loans. - Strong understanding of financial terms, valuations, balance sheets, fixed income basics, etc. - Proficiency in building/updating financial models, MS Excel, and MS Office applications with prior experience in research or corporate finance. Qualifications Required: - Experience as a Fundamental Credit Research Analyst. - Job-specific skillsets in research and financial analysis. Location: Nirlon Knowledge Park, Mumbai. In this role, you will produce and deliver research with differentiated market insights and actionable ideas to Barclays clients. Your responsibilities will include analyzing market, sector, corporate, and economic data to develop investment theses, presenting research views to clients through various channels, engaging with stakeholders, and providing insights to internal clients. Collaboration with various teams to ensure compliant delivery of research to clients and internal stakeholders is crucial. As an Analyst at Barclays, you are expected to meet stakeholders" needs through specialist advice and support, perform prescribed activities to a high standard, and may lead and supervise a team. People Leaders are expected to demonstrate leadership behaviors, while individual contributors manage their workload, take responsibility for implementing systems and processes, and participate in broader projects. Execution of work requirements, collaboration with other teams, and providing specialist advice are key aspects of the role. All colleagues at Barclays are expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence, and Stewardship, as well as the Barclays Mindset of Empower, Challenge, and Drive in their behavior and actions.,
ACTIVELY HIRING
posted 1 week ago
experience5 to 9 Yrs
location
Maharashtra, Pune
skills
  • Process Optimization
  • Manufacturing Processes
  • Quality Control
  • Statistical Process Control
  • Technical Troubleshooting
  • Communication Skills
  • Collaboration
  • Photonics Wire Bonding
  • Silicon Photonics Devices
  • Wire Bonding Methodologies
  • Documentation Management
  • ProblemSolving
  • Optical Alignment Techniques
  • HighVolume Manufacturing
  • Process Optimization Techniques
  • Industry Standards
Job Description
As an accomplished Photonics Wire Bonding Engineer, you will be responsible for developing and implementing wire bonding procedures for silicon photonics devices such as silicon dies, laser diodes, optical modulators, and photodiodes. Your role will involve collaborating closely with the global Subject Matter Expert (SME) and R&D team to create new products and optimizing the wire bonding process to achieve high yields and high dependability. Additionally, you will work autonomously and assist in the development of the process until mass production. Key Responsibilities: - Design and develop wire bonding processes for silicon photonics devices using various methodologies such as ribbon bond, ball bond, and wedge bond. - Optimize wire bonding processes including different wire types to ensure high yields and reliability. - Evaluate and select the optimum bond capillary type and wire type for specific applications. - Work closely with global teams to design and develop new products. - Collaborate with manufacturing teams to implement and scale-up wire bonding processes. - Develop and maintain documentation related to wire bonding processes. - Continuously monitor and improve wire bonding processes for consistent quality and performance. - Analyze process data and implement corrective actions to improve yields and reduce defects. - Plan, conduct, evaluate, and optimize critical parameters for an optimized wire bonding process. - Collaborate with quality and reliability teams to ensure processes meet customer requirements and industry standards. - Stay updated with the latest developments in wire bonding technology to improve processes and products. Qualifications: - Bachelor's degree in electrical engineering, materials science, or a related field. - Minimum of 5 years of experience in photonics wire bonding process development and optimization. - Strong understanding of wire bonding materials, processes, and equipment. - Experience with automated wire bonding equipment and processes. - Familiarity with optical alignment techniques and equipment. - Experience in high-volume manufacturing of photonics devices. - Proficiency in statistical process control and process optimization techniques. - Excellent problem-solving skills and ability to troubleshoot complex technical issues. - Strong communication and collaboration skills. - Experience with process documentation and quality control methodologies. - Familiarity with industry standards for photonics device manufacturing.,
ACTIVELY HIRING
posted 1 week ago
experience3 to 7 Yrs
location
Maharashtra
skills
  • Python
  • C
  • C
  • Java
  • Systematic Trading
  • Portfolio Trading
Job Description
**Job Description:** As part of the US Credit Trading Team for the US High Yield desk, you will be responsible for trading in Non-Investment Grade Bonds, CDS including Distressed securities, and Loans in the US market. Your role will involve Systematic Trading, Portfolio Trading, and other related activities. **Key Responsibilities:** - Utilize your tech skills in Python, C, C++, or Java (Any 2 preferable) for effective trading strategies. - Conduct quantitative analysis of market data to inform trading decisions. - Demonstrate strong analytical skills to assess market trends and opportunities. - Apply your experience in Python or R for data analysis and modelling. - Communicate effectively with team members and stakeholders through excellent oral and written skills. **Qualifications Required:** - Prior experience in quantitative analysis of market data. - Proficiency in Python or R for data analysis. - Excellent communication skills, both oral and written. (Note: No additional details about the company were mentioned in the Job Description.),
ACTIVELY HIRING
posted 1 week ago

Credit Research Analyst

ValueAdd Research & Analytics Solutions
experience5 to 9 Yrs
location
Maharashtra
skills
  • Financial Modeling
  • Analytical Writing
  • Client Management
  • Credit Rating
  • Industry Research
  • Team Player
  • Cash Flow Modeling
Job Description
As a Credit Research Analyst in the Investment Research department based in Mumbai, reporting to the Head of Research, your role involves the following key responsibilities: - Client management: - Accurately understanding the scope of research assignments/projects - Meeting and surpassing client expectations - Delivery management: - Providing one-to-one dedicated support to a US-based client - Independently delivering credit models, credit memos, and other research outputs - Handling credit research assignments including models across cross-over, high yield, distressed debt, and leveraged loans - Generating outputs such as credit models, cap structure analysis, credit research notes, credit tear sheets, peer comps, bond/loan comps, industry research, and news & impact analysis - Ensuring 100% client satisfaction in all deliveries - Marketing, business development, organization development support: - Assisting with collaterals and samples - Contributing towards marketing & thought leadership content The educational, experience, and skills requirements for this role include: - Postgraduate/CFA/CA/MBA/CCRA/CIIA/CAIA & equivalent; CFAs will be preferred - Up to 5 years of credit rating or credit research experience with investment banks, sell-side/buy-side firms, and KPOs - Proficiency in financial/cash flow modeling, analytical writing, idea generation, and specialization in multiple industries - Analytical, detail-oriented, and self-motivated In addition to the above, the following skills are also required: - Proven client management skills - Strong team player - Strong professional ethics and business etiquettes,
ACTIVELY HIRING
posted 2 months ago
experience10 to 14 Yrs
location
Maharashtra, Pune
skills
  • Wealth Management
  • Capital Markets
  • Leadership
  • Investor Relations
  • Lead Generation
  • Relationship Management
  • Distribution Strategies
  • Sales Management
  • Strategic Partnerships
  • Interpersonal Skills
  • Communication Skills
  • Negotiation Skills
  • Fixed Income Products
  • Debt Markets
Job Description
You will lead the strategy, execution, and growth of the Investor Relations function. Your responsibilities will include: - Driving lead generation efforts to bring in new HNI, UHNIs, and institutional investors. - Expanding the investor base by identifying new channels, networks, and partnerships. - Building and maintaining strong, long-term relationships with existing investors, ensuring engagement and repeat investments. - Strategizing and leading investor relations initiatives for high-yield fixed income products such as: - Listed and unlisted bonds - ICDs (Inter-Corporate Deposits) - Debt AIFs (Alternative Investment Funds) - Offerings via online bond platforms like BondSmart - Building and managing a high-performing investor relations team with a deep understanding of wealth and fixed income instruments. - Developing distribution strategies and systems to expand outreach through: - Internal sales teams - External broking networks - Strategic partnerships - Creating and implementing sales and follow-up systems to enhance investor experience, retention, and trust. - Working closely with leadership to position high-yield fixed income products as a valuable asset. Your skills and knowledge should include: - Strong domain knowledge in wealth management, fixed income products, debt markets, and capital markets. - Proven leadership in building and scaling IR or wealth sales teams (preferably handled teams of 30+ members). - Experience managing HNI and institutional portfolios worth 500-1000 Cr or more. - Strategic thinking paired with hands-on operational execution. - Excellent interpersonal, communication, and negotiation skills. Your experience background should be: - 10+ years in Wealth Management / Investment Advisory. If there are any additional details about the company in the job description, please provide them for a more comprehensive understanding.,
ACTIVELY HIRING
logo

@ 2025 Shine.com | All Right Reserved

Connect with us:
  • LinkedIn
  • Instagram
  • Facebook
  • YouTube
  • Twitter