Investment Analyst Private Debt, London (GB) at Swiss Re
London, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

27 Aug, 25

Salary

156000.0

Posted On

28 May, 25

Experience

1 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Excel, Presentation Skills, Finance, Communication Skills, English, Powerpoint, Economics

Industry

Financial Services

Description

Location: London, GB
Have you thought about kick-starting your investment career in Private Markets?
We are looking for a motivated and ambitious professional who is ready to contribute and grow through a hands-on role in the exciting and expanding world of private debt.

Responsibilities

As a Private Debt Investment Analyst at Swiss Re, you will play a key role in supporting and shaping the Private Debt asset class. Your responsibilities will span both strategic and operational dimensions, including the development and oversight of the long-term investment strategy and operating model. You will be actively involved in the day-to-day management of the portfolio, contributing to investment selection, portfolio steering, performance monitoring, and risk assessment. This role offers the opportunity to work in a collaborative, team-oriented environment with a strong emphasis on disciplined risk management and continuous improvement.

Key responsibilities also include:

  • Contribute to the development of recommendations and ongoing management of attractive investment opportunities within Private Debt on a global basis
  • Involvement in selection of asset managers, due diligence process, as well as execution of new investment mandates for Private Debt
  • Help oversee Private Debt asset managers including ongoing assessment of investment strategy as well as operational aspects
  • Evaluate, review, and diligence of individual Private Debt transaction opportunities originated by external asset managers
  • Develop and maintain a high standard portfolio monitoring framework capturing key portfolio characteristics as well as developments in terms of returns and risk
  • Drive and coordinate with key stakeholders customized reporting frameworks and presentations to relevant business units and internal committees
  • Produce high quality analytical analyses of the Private Debt portfolios and platform to support portfolio performance assessment and long-term strategy
  • Keep abreast of market developments and prepare commentary to be disseminated across various internal stakeholders
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