Vacancy
Direct Lending - Analyst / Junior Associate Hayfin Capital Management
5 job requirements
Talent Pools by Score
Maximum Possible Score 12
Score | Candidate Pool Size |
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12 | 0 |
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2 | 43 |
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Grand Total | 43 |
Commute Distance | Candidate Count |
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Exact | 5 |
5 - 10 miles | 1 |
21 - 30 miles | 5 |
41 - 50 miles | 7 |
50+ miles | 11 |
Unknown | 14 |
Job description
- Summary
Hayfin is a leading European alternative asset management platform with €33bn AuM, providing critical debt, equity and hybrid capital solutions to meet a range of financing needs for both corporates (sponsor and non-sponsor) and real asset owners.
Analysts and Associates work as part of small deal teams or directly with senior team members with a focus on fundamental credit analysis, due diligence, deal structuring and portfolio monitoring. The selected candidate will work on a broad range of transactions across the capital structure and in a variety of sectors on investments in our primary Private Credit strategies: Direct Lending, Tactical Solutions and Special Opportunities. The work is fast paced, deal-focused and will involve interacting with various counterparties across corporates, private equity firms, founders, law firms and other alternative asset managers.
This is an opportunity to join a leading private credit firm, working on prominent deals across Europe. You would be part of an experienced and diverse team, with a culture focused on collaboration, teamwork and entrepreneurial spirit.
Responsibilities
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Credit analysis & due diligence
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Assessment of new opportunities via in-depth investment analysis and financial modelling
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Participation in all aspects of due diligence processes, as well as preparation and presentation of investment theses to internal committees
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Deal execution
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Participate in structuring and negotiating deal terms
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Develop understanding of deal documentation
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Understand flow of value from analysis to documents to portfolio performance and returns
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Origination
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Support team in tracking relationships and participating in the origination effort
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Generating new investment ideas
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Portfolio monitoring
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Active monitoring of the existing portfolio
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Highlight any change in trends and discuss changes in forecasts with the deal team if relevant
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Build relationships with sponsors, management teams and relevant stakeholders both within your team and peer groups across the firm
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Based in London but will have the opportunity to work on deals across Europe
Requirements
- 2-3 years experience at a top-tier Investment Bank (Leveraged Finance or M&A), Restructuring Advisory, Debt Advisory or Private Credit / Direct Lending firm
- Strong quantitative, financial modelling and analytics skills
- Excellent verbal and written communication skills
- Ability to analyse credits and form independent investment judgements
- Fluency in English (both written and verbal). Additional fluency in Swedish, Danish, Norwegian or Dutch is beneficial