Debt / Fixed Income: aktuell 280 Jobs.Die neuste Jobanzeige wurde geschaltet am 25 Okt 14
Debt / Fixed Income
Dieser Sektor enthält alle unsere Stellenangebote im Bereich Debt in den Kapitalmärkten. Auch bekannt als Fixed Income bezieht sich Debt generell auf Anleihen, wie sie beispielsweise von einem Unternehmen oder einem Staat ausgegeben werden, um sich zu refinanzieren. Anders als bei Aktien, das als Eigenkapital von Unternehmen fungiert, ist das Geld bei Anleihen an das Versprechen gebunden, den Geldgebern das Grundkapital zuzüglich Zinsen zu einem bestimmten Zeitpunkt zurückzuzahlen.
Zwischenzeitlich können die Anleihen an andere Anleger auf den sekundären Anleihemärkten wie z.B. Börsen verkauft werden. Üblicherweise kaufen die Anleger die Anleihen nicht direkt bei den Emittenten. Vielmehr werden Anleihen wie Aktien von Investmentbanken auf dem Markt platziert.
Für sein Geld erhält der Anleger in der Regel bis zum Fälligkeitsdatum der Anleihe schon im Voraus festgelegte Zinszahlungen, weshalb Anleihen zu den festverzinslichen Anlagen (Fixed Income) zählen. Es gibt jedoch auch sogenannte Zerobonds, bei denen die Zinsen bis zur Fälligkeit thesauriert werden. Der Kurs der Anleihen kann indes bis zum Fälligkeitstermin schwanken, wobei die Schwankungsbreite (Volatilität) üblicherweise geringer als bei Aktien ausfällt.
Stellenangebote und Berufe im Bereich Debt und Fixed Income
Der Aufgabenbereich eines Debt-Spezialisten kann alles von Origination und Structuring bis hin zur Syndication enthalten. Sie können auch für eine Rechtsanwaltskanzlei arbeiten, die sich mit den rechtlichen Gesichtspunkten befassen. Bei einer Investmentbank sind Origination-Spezialisten häufig Senior Kapitalmarktbanker. Zu ihrem Aufgabenbereich zählen viele Geschäftsreisen, bei denen sie Kunden treffen, um einen Einblick in ihre Finanzierungsbedürfnisse zu erlangen und sie zu überzeugen, ihrer Bank den Auftrag anzubieten.
Im Structuring werden komplexere Debt-Produkte für die Kundenbedürfnisse maßgeschneidert. Anschließend liegt es an den Mitarbeitern des Syndication Desk, den Markt auf den Verkauf vorzubereiten. Sie berechnen den besten Zinsbereich, bewerten die Nachfrage und stellen sicher, dass die korrekten Dokumente zur Verfügung stehen.
Berufstitel im Bereich Fixed Income umfassen Fixed Income Trader, Municipal Bond Sales, Capital Markets Credit Risk Analyst, Global Fixed Income Product Specialist, Investment Grade Credit Investor oder Senior Structured Finance Specialist.
Erforderliche Fähigkeiten und Eigenschaften für Stellen im Bereich Fixed Income
Analytische Fähigkeiten und statistische Fertigkeit
· Hervorragende Kommunikationsfähigkeiten
· Fähigkeit, mehrere Projekte gleichzeitig zu betreuen
HY credit sales to European institutional accounts
Flow Credit Sales, Dusseldorf OR Frankfurt
A German based bank is looking to add a HY Credit Sales person to focus on financial institutional clients in Europe.
Product coverage: Corporates, Financials, High yield, Distressed debt, govies, SSA, covered structured notes, Emerging Markets
Maintain and develop relationships with clients.
Client focus: Tier 1 & 2 Asset managers, Life Insurers, Hedge Funds, Prop desks, Corporates
Improve levels of business pa…
Fitch Solutions is currently looking for a Client Services Executive to provide support to clients following the purchase of financial data information.
Fitch Solutions, a division of the Fitch Group, focuses on the development of fixed-income products and services bringing to market a wide range of data, analytical tools and related services, and is the distribution channel for Fitch Ratings content. Fitch Solutions' product offerings include Fitch Ratings' research delivery, risk and performance analytics, surveillance tools, structured…
On behalf of our client - a leading European energy trading house for commodities in both their physical and derivative forms – we are seeking for the trading floors in Western Germany and London an experienced Quantitative Developer m/f.
The Quantitative Development team is a cross-locational team (represented in Western Germany and London) responsible for the development, maintenance and support of large scale models, both stand alone and as part of standardised tool sets providing consistent valuation and risk management f…
Our client offers traditional asset management investments across all major asset classes and the firm has been actively investing in real estate assets with an international team around the world and offices in Munich Frankfurt and Hamburg in Germany.
Area of Responsibility
To take responsibility for the debt investment activities in Germany
To supervise the consistent application of the senior lending process in Germany
To be a senior spokesperson and point of contact for colleagues, investors and third parties with respect to lending c…
Associate (m/f) Fixed Income Team, Investment Strategy at Allianz Investment Management SE
Together with its customers and sales partners, Allianz is one of the strongest financial communities with a presence in over 70 countries. Around 83 million private and corporate customers rely on Allianz's knowledge, global reach, capital strength and solidity to help them make the most of financial opportunities and to avoid and safeguard themselves against risks. Our ambition is to be the partner of choice - with excellent employees, top-notch o…
Aufgrund der gestiegenen Nachfrage nach Kreditrisikobewertung und Marktpreislösungen suchen wir für unseren Klienten, einen globalen Lösungsanbieter im Bereich Kredit- und Risikomanagement für Banken, Versicherungen, Asset Management-Gesellschaften, einen Junior Sales Specialist (m/w) für den Standort Frankfurt am Main.
Aktiver Vertrieb von Kreditrisikomanagement-ToolsLösungen im Bereich Credit & Financial Data , CDS Pricing & CDS Indices etc.
Erreichung der Umsatz-und Margenzielen durch Neukundengewinnung und Best…
For an investment company with headquarters in Frankfurt am Main, we are looking for a trader (f/m) to implement investment strategies and to take over responsibility for some institutional mandates.
- Responsible for the company’s trading and fixed income securities and derivatives orders with a focus on domestic and international capital markets
- Manage and advise mandates of institutional investors
- Market monitoring and analysis in order to implement long-term trading strategies in special and public funds …
Tracing our roots to 1928, Wellington Management Company, LLP is one of the world's largest independent investment management firms. With US$820 billion in assets under management as of 31 October 2013, we serve as a trusted adviser to institutional clients and mutual fund sponsors in over 50 countries. Our innovative investment solutions are built on the strength of proprietary, independent research and span nearly all segments of the global capital markets, including equity, fixed income, multi-asset, and…
Tracing our roots to 1928, Wellington Management Company, LLP is one of the world's largest independent investment management firms. With US$904 billion in assets under management as of 30 June 2014, we serve as a trusted adviser to institutional clients and mutual fund sponsors in over 50 countries. Our innovative investment solutions are built on the strength of proprietary, independent research and span nearly all segments of the global capital markets, including equity, fixed income, multi-asset, and al…
Fantastic opportunity to work in fast paced, dynamic, front office environment.
This is an opportunity to join a global investment bank, you will support the Credit & Rates trading desk, mainly in Singapore but not limited to as you will be required to support neighbouring locations.
· Bachelor Degree from an accredited college or university with a concentration in IT or Computer Science related discipline (equivalent diploma or technical faculty)
· ITIL V3 foundation certification (preferred)
· Min. 2 years in IT / Applica…
SGD60000 - SGD90000 per annum + Variable Bonus
Morgan Mckinley Singapore
, EA Lizenz Nr.:
Award winning company looking for an ambitious individual to assist a comprehensive range of active clients source interest rate investment products.
CURVE SECURITIES is a Sydney based boutique fixed interest investment firm currently enjoying exceptional growth in an evolving sector. We service the interest rate investment needs, such as deposits and interest rates securities, of ‘middle market’ and advisory firms across the full length of the yield curve. Through our ‘Wholesale Term Deposit’ service, we assist over 50 ADIs (Banks, Build…
Seeking High Yield Analyst with at least 3 years of Research experience on the Buyside. CFA or MBA required.
Buyside firm is seeking experienced High Yield Bond Analyst to be based in Florida office. Position requires at least 3 years of experience as a research analyst covering High Yield corporates in any sector. Role requires expertise and experience analyzing corporate structures, loan covenents, and financial statements. Ideal candidate will have several years of experience supporting multiple Portfolio Managers and will have a so…
An elite hedge fund with over $20 billion AUM is seeking a fixed income compliance specialist to join their team here in New York City.
An elite hedge fund with over $20 billion AUM is seeking a fixed income compliance specialist to join their team here in New York City.
The successful candidate will work directly with portfolio managers on multiple strategies specifically covering fixed income products (CDS, MBS, physicals, etc). He/she will provide end to end compliance coverage including product advisory, surveillance, responding to in…
The individual who fills this position will have direct responsibility for a portfolio of companies. Primary duties associated with the portfolio of companies include: conducting onsite due diligence meetings; performing analysis of key quantitative and qualitative factors; presenting companies to Fitch’s internal credit rating committee; communicating ratings and
The individual who fills this position will have direct responsibility for a portfolio of companies. Primary duties associated with the portfolio of companies include: conductin…
Fitch is seeking an Associate Director / Director for coverage of the Media & Entertainment sector. We are looking for someone 1) who has a demonstrated understanding and/or keen interest in the rapidly evolving media industry 2) who can demonstrate strong credit analysis and finance
Fitch is seeking an Associate Director / Director for coverage of the Media & Entertainment sector. We are looking for someone 1) who has a demonstrated understanding and/or keen interest in the rapidly evolving media industry 2) who can demonstrate strong …
VP / Director level - Distressed Sales - Tier 1 Bank
My client is a leading foreign bank looking to fill several positions within the Distressed Debt/Bank Debt sales space. The bank that the position is located at is one of great reputation and known for an excellent work environment that provides a broad product range. They are competitive in salary and the compensation is very candidate driven. They want a candidate with around 7 years of direct Distressed Debt/Bank Debt sales experience and most importantly someone with a transferable…
Morley Financial Services is seeking top talent to join our team as a Relationship Manager - MFS in our Portland, Oregon office.
The firm was founded in 1982 and through the years, has remained at the forefront of the stable value industry by excelling at the basics of stable value management while developing innovative new products and investment strategies to enhance client portfolios.
Morley's disciplined investment process has consistently met client objectives and delivered strong performance. With $17 billion in assets under manage…
We’re currently recruiting for an exciting opportunity within the global emerging markets space. Our client is an ambitious and expanding international bank, who are extremely well funded and capitalised.
They’re currently looking for a senior trader to play a key role in spearheading their London-based sales and trading operation. As such, the successful candidate will also possess responsibilities for managing and mentoring the junior- and mid-level staff, as well as trading G7 and peripheral products.
The candidate must have demonstrab…
Leading name looking for add a proven institutional salesperson to its successful and respected platform.
Currently one of the fastest growing teams in their area of the institutional credit market, our client has had an excellent 2014, boasting significant growth in both revenue and coverage. They’re now looking for an ambitious and diligent credit salesperson to join the platform to help further their Continental European coverage.
Applicants must have demonstrable experience of selling investment grade, high yield, ABS and illiquid cre…
Our client, a leading international name, is looking to continue the expansion of its credit business by bringing on board a proven desk analyst.
The firm have an impressive platform across high yield, distressed, leveraged and special situations credit (bonds, loans, etc.) and due to strong 2014 performance they’re looking to increase their analytical and research capability.
Working alongside their prominent sales and trading teams, the role will focus on:
Performing fundamental credit analysis
High yield and distressed products (bonds …
Our client, a leading name in the credit markets, is looking to hire a proven salesperson to their leveraged and distressed credit desk in London.
Working alongside other senior members of the sales, trading and analysis team, the role will focus on:
Covering EMEA institutional clients
Hedge funds, distressed funds, asset managers, pension funds, banks, etc.
Selling leveraged and distressed credit and loan products
Proactively growing the team’s institutional client relationships
Liaising with the sales and trading teams globally in order…
Our client, an established international bank, is looking to make an addition to their global sourcing effort.
Based in London, the candidate will work with the bank’s established credit and fixed income operation globally, primarily alongside their credit sales, trading and analysis teams. The role will focus on:
Furthering the ongoing development of the bank’s distressed sourcing activities in EMEA regions
Concentration on sourcing and origination distressed and high yield bonds, loans (stressed, par, distressed, etc.), special situatio…
A Tier One Investment bank in London is looking to hire an experienced CCP modeling quant to join their newly formed centralized clearing team.
A Tier One Investment bank in London is looking to hire an experienced CCP modeling quant to join their newly formed centralized clearing team. The team focuses on modeling which circumstances lead to the bank having martin or liquidity problems due to multiple member defaults on CCP’s. This includes footprint optimization & contagion. Multi-asset team focuses on IR, equities, cre…
Reputable, established and forward looking financial institution seeks Quantitative Developer to join its Fixed Income Quantitative Research team that develops FI pricing, valuations and trading analytics.
Great opportunity for aspiring financial developer interested in quantitative/analytical applications. To qualify one needs to have at least 3 years of commercial/industry experience, whether in financial industry (ideally in Fixed Income systems/apps development using C# mostly, some C++. Role involves developing and supporting data a…