High Yield Credit Trading Analyst

Balyasny Asset Management·New York·United States·Sales & Trading

Balyasny Asset Management is hiring a High Yield Credit Trading Analyst in New York. Posted 2026-04-24; applications close 2026-06-23.

Role details

High Yield Credit Trading Analyst (Entry Level / 0-3 Years Experience)

Team/Pod: High Yield Credit Trading

Location: New York

Overview

Join a collaborative High Yield Credit Trading desk as an analyst. The ideal candidate is motivated, detail-oriented, and passionate about credit research, modeling, and valuation. You will work directly with the portfolio manager and senior credit analysts, supporting investment decisions in public and private credit markets.

Key Responsibilities

  • Build and maintain detailed, bottoms-up credit models (including forecasts, liquidity analysis, and capital structure) across a range of high yield issuers
  • Perform deep-dive fundamental credit research and due diligence on companies, industries, and capital structures
  • Monitor company earnings, news, covenants, and other triggers impacting credit quality and valuation
  • Conduct relative value analysis across bonds, loans, CDS, and other credit instruments
  • Prepare concise investment memos, research summaries, and regular reporting for the team
  • Assist with idea generation and trade structuring in response to market developments
  • Collaborate with traders to track positions, risk exposures, and P&L

Core Qualifications

  • Bachelor’s degree in Finance, Economics, Accounting, or a quantitative field (or expected graduation this year)
  • 1–3 years of internship or full-time experience—ideally in investment banking, credit research, or related fields
  • Strong quantitative and financial modeling skills; comfortable building and maintaining detailed Excel-based models
  • Genuine interest in credit markets, financial statements, and investment research
  • Solid understanding of basic valuation and credit metrics (leverage, coverage, liquidity)
  • Excellent attention to detail, organizational skills, and ability to multitask under pressure

Preferred Experience

  • Completion of a sell-side analyst campus recruiting program or analyst rotation is strongly preferred
  • Previous exposure to high yield or leveraged finance is a plus
  • Familiarity with Bloomberg, Capital IQ, or similar financial data platforms

Application Instructions

Please submit your resume and a brief cover letter—highlighting your relevant modeling or credit research experience.

With respect to NY, CA, and IL based applicants, the starting base pay range for this role is between USD 150,000 and USD 175,000 annually. The actual base pay is dependent upon several factors, including, but not limited to, relevant experience, business needs, and market demands. This role may also be eligible for bonus compensation and employee benefits.

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