Experience: 2–6 years
Job Type: Full-time (Contractual / Freelancing)
Location: Remote
Required Skills: Debt/credit investing, Underwriting, Leveraged financing, Private credit, Cash flow analysis, Covenant review, Capital structure, Clos, Structured credit, Public credit investing, Cash flow statements, Debt structures, Liquidity profiles, Covenants, 3-statement models, Lbo, Downside/stress-case models, Default risk, Recovery analysis, Refinancing risk, Sponsor quality, Industry cyclicality, Spreads/yields, Relative value, Risk-adjusted returns, Portfolio construction, High yield bonds, Leveraged loans
Job Summary:
In this role, you'll apply your expertise to help train next-generation AI systems. Your work will shape how models learn, reason, and perform through high-quality, real-world input. No prior experience in AI is required, your domain knowledge is what matters.
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.
- Collaborate with the customer’s team to deliver incisive, well-articulated written and verbal insights that drive investment decision-making.
- Maintain up-to-date industry knowledge, monitoring market dynamics, industry cyclicality, and emerging risks to inform ongoing portfolio management.
Required Skills and Qualifications:
- 2–6 years of experience in credit investing, underwriting, leveraged finance, or a related field, with direct transaction and investment recommendation exposure.
- Expertise in analyzing cash flow statements, debt structures, covenants, and liquidity profiles for leveraged and private credit investments.
- Advanced financial modeling capabilities, including 3-statement, LBO, downside, and stress-case scenarios.
- Solid understanding of default risk, recovery analysis, refinancing risk, and sponsor evaluation.
- Demonstrated ability to assess spreads, yields, relative value, and risk-adjusted returns within a portfolio construction context.
- Outstanding written and verbal communication skills, with a commitment to clarity and precision in complex analyses.
- Strong attention to detail and critical thinking in structured and public credit transactions, including CLOs.
Preferred Qualifications:
- Top performers from investment banking (LevFin, FIG, M&A), private credit or credit hedge funds, rating agencies, or restructuring advisory backgrounds.
- Significant experience with direct underwriting and investment recommendation processes.
- Commercial banking professionals with advanced modeling and credit structuring exposure are also encouraged to apply.