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IM Entry Level Analyst Program: Investment Grade Credit Analyst

Investment Grade Credit Analyst

 

Getting to Know the Opportunity

This role is a part of our Voya Investment Management (Voya IM) Entry Level Analyst Program. This program, which will begin in July 2026, is designed to develop the careers of entry level employees and provide you with the unique opportunity to begin your career in your respective fields while gaining hands-on experience and formal development and training. The Analyst will assist Senior research analysts in day-to-day business of the Investment Grade Team.

 

Key Responsibilities

Support fundamental research analysis and credit reporting.

Communicate on a timely basis the output of fundamental credit research with respect to the industries and issuers under coverage.

Complete tear sheets as required and post research to Aladdin.

Update IG team on sector news via Bloomberg chat.

Follow rating agency and street research and communicate key points to senior analysts.

Earning Calls - Listen to and summarize earnings calls for analysts with multiple reporting companies in a particular day/week.  Summarize calls and earnings releases, draft commentary for analyst review.

Financial Modeling - Under direction of sector analyst develop summary industry financial models including Income Statement, Cash flow and Balance Sheet.

Project key coverage and leverage ratios going forward Assist Senior analysts with Performance attribution for tickers/sectors under coverage.

Sector Review - assist analysts in preparation related to Industry Review Meetings.  With analyst direction, collect relevant data, prepare specific analysis, develop slides for analyst review and inclusion Support ESG effort through accessing third party ESG research, linking ESG analysis to tear sheets, and monitoring ESG Alerts from the Voya internal ESG team.

Other responsibilities may include:  Run positioning reports, coordinate weekly and semiannual team meetings, populate weekly new issue monitor and provide analysis, provide market data as needed, help coordinate sell side events, attend industry conferences and leverage street resources to assist in idea generation.

 

Qualifications

Applicants should be graduating with an undergraduate degree in December 2025 or spring/summer of 2026.

Bachelor’s degree in Finance or related field.

Strong academic standing (GPA of 3.0 or higher preferred).

Proficiency with Word, Excel, PowerPoint, Bloomberg.

Solid quantitative skills.

Very flexible & assertive nature.

Able to work independently in a high activity environment. 

Focused interest in asset management.

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