Summary
Scope Ratings is looking for a Director within our Corporate Ratings team with strong analytical thinking and problem-solving capabilities. In this role, you will be a visible senior voice within our team, and autonomously lead a portfolio of issuers in terms of ratings quality, market outreach, relationship-building, and research publication. You will analyse complex non-financial corporates, participate in developing and maintaining credit rating methodologies and be an active representative of the team with market participants. This position also includes regular meetings with issuers, investors, arrangers, and public speaking opportunities.
Duties & responsibilities
- Perform analysis and conduct credit research on a diversified portfolio of Corporate credits on a broad range of high yield and Investment Grade Corporates.
- Actively monitor existing ratings and recommend reviews and changes on a timely basis
- Present to and participate in rating committees
- Act as communication point-of-contact between Scope Ratings and customers and interact with senior executives (CFOs, CEOs, Treasurers, Investor Relations)
- Conduct discussions with clients and investors, as well as giving presentations, explanations and briefings at a highly professional level
- Build constructive analytical relationships with issuers, investors, and other market participants
- Produce high-quality, insightful and forward-looking research and analytical comments on a timely basis
- Act as a representative for Scope towards media
- Develop and maintain credit rating methodologies
- Engage in investor, issuer and arranger outreach, presenting and explaining Scope’s analytical approach
- Work closely with other Corporates team members, staff and management in Scope Ratings
Professional & personal qualifications
- Minimum 8-12 years of relevant experience in the financial industry (e.g. a large rating agency, an investment fund or investment bank), that reflects analytical and quantitative skills with a solid understanding of non-financial corporates.
- High proficiency or fluency in German is preferred
- Substantive experience in utilities, energy, and related sectors is preferred
- Experience in analysing high-yield issuers with complex financial structures is also a plus
- High familiarity and relevant experience with European financial markets
- Master's degree in finance, banking, economics, statistics, mathematics, or equivalent qualification, CFA charter is a plus
- Willingness to take responsibility with an entrepreneurial attitude. Accountable and reliable person of the highest integrity.
- Proven record of conducting and writing thought-leading insightful research
- Strong team player, confident and professional appearance and high social and communication skills
- Multi-cultural, collaborative, self-starter, versatile, inquisitive and detail-oriented personality
- Ability to meet deadlines and motivate others to do the same
- Able and ready to travel
- Flexibility in accepting tasks and duties and carrying them out as directed
- Extensive sector knowledge is a plus
- Strong MS Office (Word, Excel, PowerPoint) computer skills
- Highly proficient written and oral communication skills in English is a must.