Full-Time

Structured Credit Senior Analyst

Multiple Teams

Posted on 7/7/2025

Guggenheim

Guggenheim

1,001-5,000 employees

Late-growth, mature-stage global investor

Compensation Overview

$135k - $150k/yr

+ Incentive Compensation

Company Does Not Provide H1B Sponsorship

Santa Monica, CA, USA

In Person

Category
Finance & Banking (1)
Required Skills
Fixed Income Securities
Financial Modeling
Requirements
  • 2-5 years of research, analysis, or structuring in credit fixed income
  • CFA Level 1
  • Strong credit, finance, economic, business and technical skills
Responsibilities
  • Lead evaluation of specialized and complex investments utilizing all available sources of information including governing documents, published research, financial reports, news, rating agency reports, and market information.
  • Generate credit views, trade ideas and research summaries. Calculate total return, option-adjusted spread, and scenario analysis using standard analytical tools. Emphasis on in-depth collateral and structural analysis.
  • Present trade ideas and credit views to sector team members and portfolio managers. Maintain and originate client presentation materials related to key market development and investment views.
  • Maintain and develop cashflow and financial models for specialized and complex investments. Supervise and quality control cashflow / financial models for less-complex, on-the-run investments. Develop and maintain internal catalogues of deal comps, credit views, and credit statistics to support monitoring, surveillance, and relative risk and value analysis. Research developments related to specialized and more complex investments.
  • Participate in meetings with dealers and industry experts for industry background and deal research.
  • Direct and perform quality control of the monthly and quarterly surveillance processes.
  • Ensure completeness of investment analysis and documentation in conformance with firm standards.
  • Conduct reviews of prospective portfolio acquisitions.
  • Conduct and oversee ad hoc analysis to support PM, management, client, and desk-directed inquiries.
Desired Qualifications
  • Senior Associate (4-6 years) experience in credit research, analysis, trading, or structuring
  • Advanced degree (MFE, MBA) or equivalent educational background are desirable
  • CFA Charter or commitment to progress toward CFA Charter
  • Experience with industry standard tools such as Bloomberg, BRS, Yieldbook, Intex
  • Advanced Excel skills are required. SQL, Python skills are desirable
  • Strong written and verbal communication skills
  • Ability to multi-task across analytical, administrative, and research activities in a detail oriented and timely manner
  • Strong commitment to performance and accuracy of work product
  • Team oriented individual with ability to work independently and work well with diverse groups in a market-paced environment

Guggenheim provides growth capital by investing $5–$10 million in late-stage companies with 1,001–5,000 employees. It focuses on regional and global markets including the UAE, India, Hong Kong, Chicago, New York, Dubai, London, Mumbai, and the UK. The firm typically funds a single mid-to-large investment per deal to help a company scale, with potential follow-on support if needed. Its goal is to help growing companies expand and achieve returns for its investors by sticking to a defined niche of growth-stage firms and specific deal sizes.

Company Size

1,001-5,000

Company Stage

N/A

Total Funding

$2.1B

Headquarters

Chicago, Illinois

Founded

1999

Simplify Jobs

Simplify's Take

What believers are saying

  • Raised $8.4B Private Debt Fund IV, building on $33B invested across 550 borrowers since 2002.
  • Hired Simeon Siegel with 20 years experience to boost consumer equity research and deal sourcing.
  • Upgraded Datadog to Buy with $175 target, capitalizing on cloud-AI migration trends.

What critics are saying

  • J.P. Morgan poaches talent like Mell, eroding retail-tech IB client relationships within 6-12 months.
  • Middle-market defaults slash returns on $8.4B Fund IV where Guggenheim leads 90% investments in 12-24 months.
  • UAE-Dubai regulators delay $5M-$10M deals via tightened foreign investment rules in 6-12 months.

What makes Guggenheim unique

  • Guggenheim invests $5M-$10M in late growth-stage firms with 1001-5000 employees across UAE, India, Hong Kong.
  • Closed $8.4B Private Debt Fund IV exceeding hard cap, leading 90% of investments in middle-market loans.
  • Guggenheim Securities hires experts like David Mell and Joel Fishbein for retail and tech IB expansion.

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Benefits

Performance Bonus

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