Save Job Back to Search Job Description Summary Similar JobsWork directly with the Fund Manager on investment decisionsGain exposure across primary and secondary credit marketsAbout Our ClientA well-established India-focused alternative investment platform specialising in private credit and fixed income strategies. The platform manages institutional capital across multiple investment strategies and combines deep credit underwriting capabilities with an active approach to portfolio construction and risk management. It invests across a range of credit opportunities, with a strong emphasis on disciplined underwriting, structural protections and generating attractive risk-adjusted returns for investors.Job DescriptionSource and evaluate primary and secondary fixed income opportunitiesExecute trades across rated, structured and spread credit productsAssess pricing, yields, relative value and risk-return across opportunitiesManage portfolio exposures, concentration, tenor and liquidity parametersBuild strong relationships with brokers, arrangers and market counterpartiesMonitor credit developments, market movements and potential exit opportunitiesThe Successful ApplicantWe're looking for someone who has:Bachelor's degree from a Tier-1 institution. An MBA or relevant Master's degree would be an advantageStrong understanding of fixed income and credit productsDCM experience combined with dealing room / execution exposureEstablished network across brokers, arrangers and counterpartiesExperience trading A/BBB and lower-rated credit, not only AAA/AA paperStrong understanding of spreads, yields, liquidity and relative-value analysisAbility to execute quickly while applying a strong fundamental credit lensWhat's on OfferCompetitive compensation aligned with experience and market benchmarksQuote job refJN-092026-7109398Job summaryFunctionBanking & Financial ServicesSub SectorPortfolio / Fund / Asset ManagerWhat is your area of specialisation?Financial ServicesLocationMumbaiJob TypePermanentJob ReferenceJN-092026-7109398