Private Credit Investment Analyst
Listed on 2026-03-03
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Finance & Banking
Financial Analyst, Risk Manager/Analyst, Corporate Finance, Financial Consultant
Majoris Capital is an international private markets investment platform investing across private credit and private equity. The firm applies disciplined underwriting, rigorous governance and structured downside protection to generate attractive risk-adjusted returns. Operating across Europe, the UK, the US and MENA, Majoris Capital focuses on opportunities characterised by structural complexity, capital inefficiency and limited competition, leveraging deep origination capabilities and active execution to deliver repeatable performance.
OverviewMajoris Capital is seeking a high-calibre Investment Analyst to join our Private Credit team within a growing private markets platform.
The strategy focuses on senior secured, asset-backed credit investments structured to prioritise capital preservation, disciplined underwriting and contractual income generation. The Analyst will play a core role in underwriting new investments, structuring transactions and monitoring portfolio exposures across the investment lifecycle.
This is a front-office investment role with meaningful responsibility and direct exposure to senior decision-makers.
Key Responsibilities:- Analyse and underwrite senior secured credit opportunities across asset-backed and corporate structures
- Build and own detailed cash flow models assessing leverage capacity, debt service coverage and downside resilience
- Conduct scenario analysis and stress testing under conservative assumptions
- Evaluate capital structures, collateral packages and covenant frameworks
- Review key legal documentation and summarise material commercial and structural terms
- Draft Investment Committee memoranda and supporting analysis
- Work closely with senior investment professionals through transaction execution
- Coordinate diligence workflows and maintain financial and documentation trackers
- Interface with legal advisers and counter parties on information requests and modelling queries
- Monitor portfolio company performance against underwriting cases
- Track covenant compliance, liquidity profiles and risk metrics
- Analyse amendment, waiver or refinancing scenarios and present risk implications
- Support periodic valuation analysis and internal risk reviews
- Maintain exposure tracking and portfolio performance dashboards
- Conduct sector and market analysis to inform investment pipeline development
- Screen new opportunities and prepare preliminary credit assessments
- Contribute to sponsor and intermediary coverage efforts
- 2-5 years’ experience in leveraged finance, debt advisory, restructuring, direct lending, structured credit, private credit or investment banking
- Strong understanding of credit analysis, capital structures and downside protection
- Demonstrated ability to build and operate detailed cash flow models independently
- Familiarity with covenant analysis and debt documentation
- Strong analytical judgement and ability to assess risk-adjusted returns
- Clear and concise written communication skills
- High attention to detail and ability to manage multiple live processes
- Advanced Excel modelling (cash flow, leverage and sensitivity analysis) - mandatory
- Strong financial statement analysis and accounting knowledge
- PowerPoint proficiency for investment materials
- Bachelor’s degree in Finance, Business, Economics, Mathematics or related discipline
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