Job Title: Financial Analyst – Fixed Income & Credit
Location: Dubai, UAE
Salary: Open upto AED 16,000 per month
Benefits: Medical insurance, flight tickets for self and dependents, and life insurance
Job Industry: Financial Services/ Investment Banking
Experience: Minimum 3- 5 Years of experience as Financial Analyst across Fixed income, Private Equity along with atleast CFA- Level 1 certified
Role Overview:
The Financial Analyst – Fixed Income & Credit will play a critical role in supporting the evaluation, execution, and monitoring of investments across fixed income and private equity portfolios. The role involves conducting in-depth financial analysis, valuation, and research to support the Fund’s investment decisions and long-term strategy. The successful candidate will demonstrate strong analytical capabilities, sound investment judgment, and familiarity with GCC and global markets.
Qualifications & Experience:
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Bachelor’s degree in Finance, Accounting, or a related discipline.
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Master’s degree or CFA charter-holder preferred.
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3- 5 years of professional experience in investment analysis, ideally within asset management, sovereign funds, or banking institutions
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Proven track record in analyzing and managing multi-asset strategies.
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Exposure to GCC and international markets preferred
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E
xperience with Sharia-compliant investment structures is Mandatory
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Key Responsibilities:
1. Investment Analysis, Acquisition & Disposal – Private Equity
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Conduct comprehensive due diligence on direct and co-investment opportunities, including financial modelling, valuation, and return sensitivity analysis.
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Assess transaction rationale, structure, and alignment with strategic objectives.
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Evaluate investment track records, strategy alignment, and portfolio construction for new opportunities.
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Prepare investment memos, transaction models, and related documentation.
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Support transaction execution in collaboration with external advisors, legal counsel, and internal teams.
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Monitor post-transaction and existing direct PE portfolio performance (IRR/MOIC tracking).
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Contribute to quarterly and annual valuation processes and portfolio reviews.
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Maintain sectoral and regional insights to identify emerging opportunities, trends, and risks.
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Support development of exit strategies and performance enhancement initiatives for portfolio companies.
2. Fixed Income Analysis
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Analyze primary and secondary market opportunities in sovereign, corporate, and other credit instruments.
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Evaluate the fixed income portfolio by analyzing spreads, credit ratings, and yield curves to identify attractive risk-adjusted opportunities.
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Collaborate with asset managers, banks, and advisors to source and assess investment ideas.
3. Investment Research & Due Diligence
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Conduct both top-down and bottom-up research aligned with the Fund’s long-term investment strategy.
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Maintain robust internal databases, benchmarks, and valuation models for ongoing monitoring.
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Support periodic portfolio reviews and stress-testing exercises.
4. Market Intelligence
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Stay informed on global and regional macroeconomic trends, including M&A activity, interest rate policies, inflation, and geopolitical developments.
5. Strategy Development
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Identify long-term investment themes and regional growth drivers.
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Support the investment team in formulating the annual investment budget.
6. Stakeholder Engagement
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Liaise with Legal, Risk, Finance/Compliance, and Sharia teams to ensure adherence to internal and external guidelines.
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Engage with external asset managers, brokers, and research providers for insights and intelligence.
7. Teamwork & Collaboration
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Foster effective collaboration and communication with peers and other departments.
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Promote a culture of knowledge sharing, teamwork, and continuous improvement.
8. Compliance & Reporting
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Ensure all investment activities comply with Sharia, regulatory, and internal policies.
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Support preparation of investment reports, presentations, and dashboards for senior management and board meetings.
Core Competencies:
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Strong financial modelling and valuation skills.
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Analytical thinking with attention to detail.
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Knowledge of fixed income instruments and private equity structures.
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Excellent communication and presentation abilities.
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Ability to work independently and as part of a multidisciplinary team.
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High ethical standards and adherence to confidentiality.