
Emirates NBD
Senior Analyst – Fixed Income (Asset Management)
- Permanent
- Dubai, United Arab Emirates
- Experience 5 - 10 yrs
Job expiry date: 19/10/2025
Job overview
Date posted
04/09/2025
Location
Dubai, United Arab Emirates
Salary
AED 20,000 - 30,000 per month
Compensation
Comprehensive package
Experience
5 - 10 yrs
Seniority
Senior & Lead
Qualification
Masters degree
Expiration date
19/10/2025
Job description
The Senior Analyst – Fixed Income at Emirates NBD within the Asset Management division is responsible for conducting comprehensive credit research and in-depth analysis across various asset classes such as corporate bonds, sovereign debt, and structured products. The role includes evaluating creditworthiness and assessing risk profiles to support investment decisions, while monitoring market trends and economic indicators to deliver timely and relevant analysis. The analyst will produce detailed research reports, contribute strategic insights, and participate in investment committee meetings. Collaboration with portfolio managers to align research with strategies is essential. This position also involves tracking investment performance, providing internal updates, participating in cross-functional initiatives, and contributing to continuous improvement of research methodologies. Proficiency in financial analysis tools, Python, and understanding of credit markets is required, along with strong communication skills. The role is based at The Gate Building, Sheikh Zayed Road, DIFC, Dubai.
Required skills
Key responsibilities
- Conduct comprehensive credit research on various asset classes, including corporate bonds, sovereign debt, and structured products
- Evaluate creditworthiness and assess the risk profiles of potential investments
- Monitor market trends and economic indicators to provide timely and relevant analysis
- Prepare detailed research reports and presentations for the investment team
- Provide strategic insights and recommendations to the investment team based on credit research findings
- Participate in investment committee meetings, presenting research findings and contributing to investment decisions
- Collaborate with portfolio managers to align top-down and bottom-up research with investment strategies
- Track the performance of investments and adjust research focus as needed
- Communicate research findings and credit analysis to internal stakeholders, including portfolio managers and senior management
- Collaborate with other analysts and researchers to share insights and improve research quality
- Provide updates on market conditions and potential risks to the investment team
- Participate in cross-functional projects and initiatives to support the Asset Management division
- Stay updated on industry trends, market developments, and regulatory changes affecting credit markets
- Participate in training and development programs to enhance research and analytical skills
- Contribute to the continuous improvement of research methodologies and tools
- Share knowledge and insights with the broader team to support collective learning
Experience & skills
- Hold an MBA in Finance, Economics, Business Administration, or a related field
- Possess advanced degrees or certifications such as CFA (preferred)
- Have proven experience in credit research, financial analysis, or asset management, with a focus on evaluating credit risk and supporting investment decisions
- Demonstrate advanced analytical and research skills
- Have intermediate or advanced proficiency in Python
- Exhibit in-depth knowledge of credit markets and financial instruments
- Possess excellent communication and presentation abilities
- Be proficient in financial analysis tools and software
- Be able to work independently and collaboratively within a team