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Mexico City - Investment Management - Corporate Credit Analyst
Our Talent Marketplace
Full-time | Entry-level (0 to 3 years)
50 - 69K
Accounting / Auditing, Analyst, Finance
Deadline: on a rolling basis

IVO Capital Partners is an accredited boutique investment manager based in France. The company was founded
in 2012 by ex-bankers who previously held senior positions in Rothschild & Co, Merrill Lynch and Nomura.
Our offices are in Paris (HQ) and Mexico City (Investment Team)
The firm has three core business activities:
 Asset management
 Investment advisory for high-net worth clients
 Specialized boutique investment banking: Structured Finance, DCM, M&A

IVO Capital Partners is seeking a corporate credit analyst to help analyze, recommend, and monitor
investment opportunities across Global HY credit as well as stressed / distressed and select equities. The analyst
will be focused on working our IVO Fixed Income flagship fund, as well as new products that will be launched
during 2019.
The candidate will be based in Mexico City, in the upmarket neighborhood of Polanco.
The candidate will also be expected to travel worldwide to participate to conferences, roadshows and investor
Key Responsibilities:
 Develop investment recommendations for the lead Portfolio Manager based on fundamental and
relative value analysis within our investment universe
 Perform and present at committee in-depth fundamental credit analysis effectively and
comprehensively on a regular basis on issuers
 Write in-depth, high quality, insightful and focused research on specific issuers within our investment
 Work directly with the lead Portfolio Manager to answer questions regarding macroeconomic trends,
credit concerns, industry changes, and relative value mispricings
 Participate in the creation and updating of our analysis tools developed internally and being a force of
proposal on methods and tools
 Develop IVO’s notoriety through intermediary marketing and visibility initiatives (e.g. investor one on
one discussions, conference participation)
What we are looking for:
 Master degree or equivalent from Business/Engineering School or University with a major in finance
 Strong academic pedigree
 Experience in investment decision making / financial analysis Or as an investment banking analyst, preferably in a modeling heavy group (lev fin, M&A)
 Previous experience in Emerging Markets, Distressed Debt and/or Consumer Finance is an asset
 Strong analytical skills and modelling experience
 Proactive/"can do" approach to work with ability to deal with a multitude of tasks in a multicultural
 Excellent communication skills - able to communicate clearly and succinctly, both verbally and in
 Fluency in English is essential, French and Spanish highly recommended and Portuguese is an asset
Salary: According to experience

Mexico Office
Mexico City, Mexico, Mexico