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Credit Investment Analyst for AI Model Training

Remote · USA Full-time New today

This role offers a unique opportunity to leverage your expertise in credit and debt investing to influence the training of next-generation AI systems. Your insights will play a crucial role in shaping how models learn and perform, making your domain knowledge invaluable. No prior AI experience is necessary; your skills in finance will be the key to success. Key Responsibilities: Utilize your deep knowledge of credit and debt investing to evaluate a diverse range of credit instruments, including high yield bonds, leveraged loans, and structured credit products. Conduct comprehensive underwriting and due diligence reviews, analyzing capital structures, covenants, and liquidity profiles to provide informed investment recommendations. Develop and enhance financial models, including cash flow, 3-statement, LBO, and downside/stress-case models to evaluate default risk, recovery analysis, sponsor quality, and refinancing risks. Analyze spreads, yields, and relative value opportunities across public and private credit markets to maximize 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 clear and insightful written and verbal analyses that support investment decision-making. Stay informed on industry trends, market dynamics, and emerging risks to enhance ongoing portfolio management. Required Skills and Qualifications: 2, 6 years of experience in credit investing, underwriting, leveraged finance, or a related field, with direct exposure to transactions and investment recommendations. Proficiency in analyzing cash flow statements, debt structures, covenants, and liquidity profiles for leveraged and private credit investments. Advanced financial modeling skills, including 3-statement, LBO, downside, and stress-case scenarios. Strong understanding of default risk, recovery analysis, refinancing risk, and sponsor evaluation. Ability to assess spreads, yields, relative value, and risk-adjusted returns within a portfolio context. Excellent written and verbal communication skills, ensuring clarity and precision in complex analyses. Attention to detail and critical thinking in structured and public credit transactions, including CLOs. Preferred Qualifications: Experience from investment banking (LevFin, FIG, M&A), private credit or credit hedge funds, rating agencies, or restructuring advisory roles. Work Terms: Contract position, fully remote. Compensation: Hourly rate of $100 - $200. Eligibility: Open to candidates with the required experience and skills. Apply To This Job

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