Dewislen

Credit Research Analyst

Manylion swydd
Dyddiad hysbysebu: 22 Ionawr 2026
Cyflog: Heb ei nodi
Gwybodaeth ychwanegol am y cyflog: Competitive Salary + Benefits
Oriau: Llawn Amser
Dyddiad cau: 19 Chwefror 2026
Lleoliad: Leeds, West Yorkshire
Gweithio o bell: Ar y safle yn unig
Cwmni: Blue Octopus Recruitment Limited
Math o swydd: Parhaol
Cyfeirnod swydd: BCPP199248

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Permanent, Full time: 37.5 hours per week (we welcome flexible working discussions)

An opportunity to make a difference

At Border to Coast our purpose is to make a difference and we’re looking for an experienced Fixed Income Credit Research Analyst to join our award-winning team.

As a customer-owned and customer-focused organisation, integrity is one of our values, as are our collaborative and sustainable approach. Our focus is to secure the pensions of over a million people who have provided valuable service to their communities and society. We’re the largest UK asset manager outside London or Edinburgh, and we provide innovative investments that deliver sustainable returns over the long term.

Our range of fixed income funds is growing to support our customers’ needs. That’s why we are seeking an experienced Fixed Income Credit Research Analyst to join our investment team based in Leeds. If you are curious and self-motivated individual who has a passion for learning about a wide variety of industries, countries and markets, then this is an exciting opportunity.

The role – what you’ll be doing

Our Credit Research Analysts work closely alongside internal Fixed Income Portfolio Managers and Responsible Investment specialists to build high performing portfolios. Our holdings are predominantly investment grade developed-market entities although there may be a small number of high yield and/or emerging market exposures to evaluate.

This role offers the opportunity to collaborate on security selection, portfolio construction, and investment strategy. You will work closely with key stakeholders including Fixed Income Portfolio Managers, Portfolio Risk, the Responsible Investment team and Equity Research colleagues to:

Conduct fundamental credit analysis - publishing internal research reports that demonstrate a clear understanding of the business and its industry and highlighting the relationship between the credit risks assumed and the level of credit spread offered.
Assess new investment opportunities and effectively communicate recommendations for inclusion in relevant portfolios, most often under tight deadlines.
Monitor portfolio exposures and prospective holdings in sectors under your coverage – reviewing news flow, earnings, and industry trends and assessing their impact on credit quality and relative value.
Actively participate in investment team meetings, as well engaging with company management, sell-side analysts, and other market participants.
Work closely with Responsible Investment colleagues to incorporate Environmental, Social and Governance risk analysis into your analytical process and overall investment thesis (in line with the Border to Coast Responsible Investment policies), supporting engagement initiatives where appropriate.
Contribute your sector expertise to the overall investment strategy:
- Share your insights and subject matter expertise to enhance the capability of others and develop our investment culture.
- Collaborate with Research and Portfolio Management colleagues to highlight macro factors and market dynamics that may impact investment strategy across other sectors and portfolios.
- Play an active role in constructively and respectfully challenging the information, analysis and logic supporting the recommendations of research team colleagues and the investment approach of PMs.
About you - and the value you’ll bring to our team

We are seeking an investment professional with curiosity and a passion for financial markets. To be considered for this role, you will bring relevant credit research experience, whether from banking, private credit, the sell‑side, the buy‑side or a rating agency, and be able to demonstrate:

Proven analytical skills evidenced by completion of the CFA programme or an equivalent professional qualification.
Strong understanding of credit risk assessment and relative value in fixed income markets
Ability to form independent views and communicate them clearly and concisely to influence portfolio outcomes.
A long-term investment horizon exercising sound judgment, intellectual curiosity, and attention to detail.
The ability to recognise when unexpected developments require that you change your recommendation.
Willingness to collaborate with, and learn from, others to develop investment ideas, refine processes, and share constructive feedback.
Ability to distil a wide range of often conflicting information in a concise and cohesive manner.
Sound knowledge of Responsible Investment principles.
Understanding of term sheets, prospectuses and bond covenants.
Planning, organisation, time and data management and administrative capabilities.
You’ll be a pro-active, self-motivated team player with the ability to manage an interesting and variable workload and be willing to assist and support other team members when required.
Why join Border to Coast?

At Border to Coast, you will receive competitive remuneration and have access to excellent benefits:

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