~~Our client is a top tier asset manager focusing on all aspects of structured finance and credit across European markets. Their strategy is focused on niche credit market strategies across Credit (Corporate and High yield, Financials, Credit Derivatives), Structured Finance (ABS, CMBS, Regulatory Capital) and Illiquid Credit Opportunities (Private Debt, Real Estate, Consumer Finance). This is an exceptional opportunity for top tier analysts who combine an excellent academic background and experience in structured finance, securitization or private credit to join this highly specialised and well respected asset manager. Responsibilities: - Working closely with both Portfolio Manager and Senior Analysts on transaction investment analysis in both private credit and portfolio acquisition transactions. - Undertaking data analysis and cash flow modelling. - Provide support in the preparation of Investment Committee documentation - Prepare portfolio management reports and monitoring of transaction performance. Candidate Profile: - Degree in Finance, Maths or related field from a from a top-tier University - Two to three years' experience in securitisation, private credit or structured finance within a Bank or asset management firm. - Strong cashflow and portfolio modelling experience. - Excellent quantitative and qualitative analytical skills. - Excellent verbal and written communication. - Strong attention to detail, highly organised and process driven.