Neuberger Berman
Fixed Income ESG Investing Analyst
Neuberger Berman, Chicago, Illinois, United States, 60290
Responsibilities :
Support credit research and the integration of ESG analysis across the Investment Grade and Non-Investment Grade corporate credit research teams.
Work directly with senior fixed income research analysts to assist in the ongoing credit process and maintenance of the team's research systems.
Identify emerging ESG related industry topics which may become material to credit risk and work with credit analysts and portfolio managers to evaluate the impact on issuers and portfolios.
Research sector and issuer specific topics and provide support to the research analysts.
Monitor changes in industry and portfolio company disclosure practices and benchmark how these practices compare to peer issuers.
Prepare investment materials for presentation to senior analysts and portfolio managers.
Qualifications : Intellectually curious self-starter with a strong aptitude for quantitative and qualitative analysis.
Proven initiative and ability to work independently and collaboratively as part of a global team, performing multiple job functions with a high level of accuracy and attention to detail.
Strong verbal and written communication skills, including synthesizing research and conceptual work into actionable and presentable deliverables across all levels of the organization.
Ability to independently manage multiple projects in a collaborative manner with multiple stakeholders through to completion in a dynamic and changing environment.
Strong sense of professionalism and integrity.
Interest in financial markets and investing.
Excellent proficiency in Microsoft Excel, Word, PowerPoint, and aptitude for quickly learning new skills and technologies.
Undergraduate Finance, Accounting, Economics or business related degree with strong academic credentials.
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Work directly with senior fixed income research analysts to assist in the ongoing credit process and maintenance of the team's research systems.
Identify emerging ESG related industry topics which may become material to credit risk and work with credit analysts and portfolio managers to evaluate the impact on issuers and portfolios.
Research sector and issuer specific topics and provide support to the research analysts.
Monitor changes in industry and portfolio company disclosure practices and benchmark how these practices compare to peer issuers.
Prepare investment materials for presentation to senior analysts and portfolio managers.
Qualifications : Intellectually curious self-starter with a strong aptitude for quantitative and qualitative analysis.
Proven initiative and ability to work independently and collaboratively as part of a global team, performing multiple job functions with a high level of accuracy and attention to detail.
Strong verbal and written communication skills, including synthesizing research and conceptual work into actionable and presentable deliverables across all levels of the organization.
Ability to independently manage multiple projects in a collaborative manner with multiple stakeholders through to completion in a dynamic and changing environment.
Strong sense of professionalism and integrity.
Interest in financial markets and investing.
Excellent proficiency in Microsoft Excel, Word, PowerPoint, and aptitude for quickly learning new skills and technologies.
Undergraduate Finance, Accounting, Economics or business related degree with strong academic credentials.
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