Deskripsi Pekerjaan
Informasi lengkap tentang posisi dan persyaratan
Ringkasan Yukerja
Lowongan Securitized Credit Research Analyst di Macquarie Group kami kurasi dari JobStreet (kategori Teknologi & IT). Perhatikan lokasi kerja (Indonesia) sebelum melamar. Yukerja.com bukan pemberi kerja — lamaran diproses di situs sumber resmi.
Additional office locations
Philadelphia
Job ID
22843
Date
26-Jun-2026
Permanent - Full time, Mid-level
Job category
Asset Management
- 3–7+ years of experience in securitized credit, gained at a fund manager, sell-side desk, rating agency, bank or similar role. Demonstrated experience in securitized credit is required, and experience across multiple securitized credit asset classes - including some or all of ABS, CMBS, RMBS, Agency MBS, or other structured products - is preferred.
- A self-starter mindset – you will work independently and with the portfolio management team, take ownership of your coverage, and bring genuine passion for structured markets and fixed income.
- A bachelor’s degree is required, and CFA candidacy or a strong desire to pursue the designation is valued.
- Proven ability to analyze transactions across the capital structure, with comfort evaluating collateral quality, structural protections, and relative value at different attachment points.
- Excellent verbal and written communication skills, with the ability to synthesize complex structured transactions into clear, actionable investment views and manage a broad coverage universe simultaneously.
- Strong Microsoft Office and Bloomberg skills, with proficiency in cash flow modelling and securitization analytics tools such as Intex. Exposure to AI tools is viewed as an asset and a genuine growth opportunity as we continue to integrate these capabilities into the research process.
- 3–7+ years of experience in securitized credit, gained at a fund manager, sell-side desk, rating agency, bank or similar role. Demonstrated experience in securitized credit is required, and experience across multiple securitized credit asset classes - including some or all of ABS, CMBS, RMBS, Agency MBS, or other structured products - is preferred.
- A self-starter mindset – you will work independently and with the portfolio management team, take ownership of your coverage, and bring genuine passion for structured markets and fixed income.
- A bachelor’s degree is required, and CFA candidacy or a strong desire to pursue the designation is valued.
- Proven ability to analyze transactions across the capital structure, with comfort evaluating collateral quality, structural protections, and relative value at different attachment points.
- Excellent verbal and written communication skills, with the ability to synthesize complex structured transactions into clear, actionable investment views and manage a broad coverage universe simultaneously.
- Strong Microsoft Office and Bloomberg skills, with proficiency in cash flow modelling and securitization analytics tools such as Intex. Exposure to AI tools is viewed as an asset and a genuine growth opportunity as we continue to integrate these capabilities into the research process.