Investment Analyst in London

Investment Analyst in London

London Full-Time 50000 - 70000 £ / year (est.) No working from home possible
Chenavari Investment Managers

At a Glance

  • Tasks: Support investment decisions and monitor portfolios in a dynamic hedge fund environment.
  • Company: Chenavari Investment Managers, a leading independent asset manager in Europe.
  • Benefits: Hybrid work policy, mentorship, and a collaborative culture that values your voice.
  • Other info: Diverse teams drive better outcomes; we welcome all backgrounds.
  • Why this job: Gain hands-on experience in credit markets and make impactful contributions.
  • Qualifications: BSc/MSc in Finance or related field; CFA pursuit is a plus.

The predicted salary is between 50000 - 70000 £ per year.

About Us

Chenavari Investment Managers is a leading European focused independent asset manager.

Since 2008, we have built a reputation for navigating complex credit markets with a fundamental, value‑based investment approach.

Our entrepreneurial culture values curiosity, collaboration, and diversity of thought and we are proud to have a team that reflects those values.

With over €2.4 billion in assets under management across our Toro European CLOs, the Leveraged Finance Team is growing, and we are looking for an Investment Analyst to join our London office.

What You’ll Do

As an Investment Analyst, you will play a key role in supporting investment decisions and portfolio monitoring.

You will work closely with senior team members across London and Luxembourg and gain hands‑on experience in:

  • Monitoring a portfolio of assigned credits within specific sectors
  • Assessment of new investment opportunities including fundamental credit analysis and the production of reports to the credit committee
  • Monitoring of assigned credits and recommending appropriate action to the respective portfolio manager
  • Attending lender presentations, results calls and leveraged finance conferences in London and abroad

Fundamental credit analysis

  • Building and updating financial models
  • Reviewing due diligence packs and legal documentation
  • Liaising with management teams, banks, consultants, private equity sponsors and industry specialists
  • Drafting detailed and structured credit analysis reports

Ad hoc responsibilities include

  • ESG analysis of new and existing investments
  • Assisting in the production of weekly, monthly and payment reports
  • Updating model portfolios and investor presentations to support the team’s fundraising efforts
  • Updating internal ratings databases
  • Booking transactions and liaising with relevant parties both externally (custodians, agents) and internally

We value teamwork, insight, and initiative and will provide mentorship and tools to help you thrive in the role.

What We are Looking For

We welcome candidates from diverse academic and professional backgrounds, particularly those who are excited about credit markets and collaborative work.

We encourage applications even if you do not meet every requirement.

  • Technical skills, required knowledge and experience
  • A minimum of 4 years of experience in credit analysis
  • Fluent in written and spoken English, with the ability to express complex information with clarity and conciseness
  • Skilled in MS Office Suite, proficient knowledge of Excel
  • Python programming skills are a plus
  • A good understanding of the LBO capital structure and the ability to produce financial models
  • Company valuation skills are a plus
  • Relationship building skills with both sell side and buy side to build market knowledge
  • Personal Attributes
  • The right to work in the UK or Luxembourg
  • Autonomous and independent, creative problem solver
  • An ability to anticipate potential issues and proactively address them
  • Highly motivated, collaborative team player
  • Sound judgement and the ability to act with discretion at all times
  • Attention to detail, organised and process driven
  • Ability to perform accurately under pressure and to deadlines
  • Client services focused

Qualifications

  • BSc or MSc in Accounting, Finance, Economics or a related field
  • A CFA qualification or the desire to pursue one is a plus
  • Previous holder of FCA Certification role desired but not essential
  • What You will gain
  • A collaborative and inclusive culture where your voice matters
  • Mentorship from experienced professionals in credit markets
  • Exposure to a dynamic hedge fund environment
  • A hybrid work policy that supports flexibility and wellbeing
  • A workplace that values both performance and balance

We believe diverse teams drive better outcomes.

We're committed to promoting an environment where people of all genders, backgrounds, and experiences feel welcomed, valued, and empowered to succeed.

Conduct & Integrity

All Chenavari team members are expected to act with integrity, care, and professionalism, and to uphold the highest standards of conduct in line with our regulatory obligations.

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Investment Analyst in London employer: Chenavari Investment Managers

At Chenavari Investment Managers, we pride ourselves on being an exceptional employer, offering a dynamic hedge fund environment in the heart of London. Our hybrid work policy promotes flexibility, while our commitment to mentorship and professional development ensures that you will have ample opportunities for growth and advancement in your career. Join us to be part of a collaborative team that values innovation and excellence in investment management.

Chenavari Investment Managers

Contact Details:

Chenavari Investment Managers Recruitment Team

We think you need these skills to ace Investment Analyst in London

Credit Analysis
Financial Modelling
Due Diligence Review
ESG Analysis
MS Office Suite
Excel Proficiency
Python Programming