Masters degree in Finance, Business Administration or closely related quantitative field plus 1 year of performancerelated asset management experience. Experience must include working with alternative investment products, including Bank Loans and High Yield Bonds; and Portfolio Accounting and application of performancebased profit and loss appraisal metrics. Experience must include using the following tools and technologies MS Excel, Bloomberg, Python, and SQL. Telecommuting is permitted from any U.S. location 1 to 2 days per week.

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