Private Credit Analyst
Listed on 2026-07-11
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Finance & Banking
Financial Analyst, Corporate Finance, Portfolio & Asset Management
Private Credit Analyst (PR/585733) New York, New York
Salary: USD
120000 - USD
150000 per year
A permanent capital investment platform is seeking an Analyst to join its New York-based investment and strategy team. This role offers broad exposure across private credit, structured finance, asset-based investing, growth equity, and strategic initiatives, providing the opportunity to develop a true buy‑side skill set while working directly with senior leadership. The team operates in a highly entrepreneurial environment where Analysts are given meaningful responsibility, ownership of key work streams, and visibility into investment decisions that drive long‑term value creation.
WhatYou’ll Do
As an Analyst, you will support a wide range of investment, corporate development, and strategic initiatives across the platform. You will work closely with senior leaders to evaluate opportunities, conduct research, build financial models, and help execute transactions across multiple asset classes.
Key responsibilities include:- Build and maintain financial models to evaluate investment opportunities across private credit, structured finance, specialty finance, and equity investments
- Perform investment underwriting, due diligence, market analysis, and company research
- Support the evaluation and execution of structured transactions, capital raises, and strategic initiatives
- Analyze opportunities across asset‑backed finance, lender finance, specialty credit, growth equity, and special situations
- Prepare investment memoranda, presentations, and materials for senior leadership and investment discussions
- Conduct thematic and industry research to identify emerging trends and investment opportunities
- Assist with relationship management, opportunity sourcing, and interaction with external partners
- Support corporate development initiatives, new business launches, and strategic partnership opportunities
- Manage multiple projects simultaneously in a fast‑paced, collaborative environment
- 1‑3 years of experience in investment banking (FIG or Insurance Group Preferred)
- Strong financial modeling, valuation, and analytical capabilities
- Advanced proficiency in Excel and Power Point
- Demonstrated ability to manage multiple priorities and work effectively in a dynamic environment
- Strong communication and presentation skills
- Intellectual curiosity, strong work ethic, and a willingness to learn new sectors and investment strategies
- Self‑starter with a proactive mindset and high level of ownership
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