SummaryHayfin Capital Management ("Hayfin") is the leading alternative asset management firm with c. €33 billion in assets under management. Hayfin focuses on delivering attractive risk-adjusted returns for its investors across its private debt, liquid credit and private equity solutions businesses.
Hayfin has a diverse international team of over 200 experienced industry professionals with offices globally, including headquarters in London.
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 Credit analysis & due diligence: - Assessment of new opportunities via in-depth investment analysis and financial modelling
- Participation in all aspects of due diligence processes, as well as preparation and presentation of investment theses to internal committees
Deal execution: - Participate in structuring and negotiating deal terms
- Develop understanding of deal documentation
- Understand flow of value from analysis to documents to portfolio performance and returns
Origination: - Support team in tracking relationships and participating in the origination effort
- Generating new investment ideas
Portfolio monitoring: - Active monitoring of the existing portfolio
- Highlight any change in trends and discuss changes in forecasts with the deal team if relevant
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