Vice President, Liquid Credit - Investments

Brookfield Asset Management
VPCreditOn-site
Location

New York, United States

Date Posted

March 27, 2026

Region

Americas

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About This Role

Location Brookfield Place New York - 225 Liberty Street, 8th Floor Business - Wealth Solutions Brookfield Wealth Solutions (“BWS”; NYSE/TSX: BNT) is focused on securing the financial futures of individuals and institutions through a range of retirement services, wealth protection products and tailored capital solutions. Through our operating subsidiaries, we offer a broad range of insurance products and services, including annuities, personal and commercial property and casualty insurance and life insurance Brookfield Culture Brookfield has a unique and dynamic culture. We seek team members who have a long-term focus and whose values align with our Attributes of a Brookfield Leader: Entrepreneurial, Collaborative and Disciplined. Brookfield is committed to the development of our people through challenging work assignments and exposure to diverse businesses. Job Description Position Summary: The Vice President will join the Liquid Credit investments team at BWS and focus on the development and implementation of alpha-oriented credit strategies across the U.S. liquid corporate credit markets. This role will help drive differentiated investment strategies, maximize information flow to BWS across credit markets and lead the execution of trade ideas designed to generate excess returns for BWS’ $60bn+ liquid credit portfolio. The VP will also play a central role in the overall management of the portfolio, working closely with the Public Securities Group (PSG) on fundamental credit views, exposure surveillance, and regular-way deployment of assets. Responsibilities: Develop and implement alpha-oriented credit strategies across U.S. investment grade and high yield corporate bond markets Generate differentiated investment ideas through fundamental, capital structure and relative value analysis Lead execution for credit strategies across primary and secondary markets Drive portfolio positioning, risk management, and performance attribution Lead and maintain trading relationships with broker-dealers and investment banks to ensure strong market access, liquidity, and information flow Qualifications & Requirements: 8+ years of experience in corporate credit investing, trading, or portfolio management Deep experience in trading and investing across U.S. liquid corporate bond markets (IG and / or HY) Demonstrated ability to generate alpha through active credit strategies Strong credit underwriting, valuation, and relative value analysis capabilities Proven experience managing trading relationships with broker-dealers and investment banks Excellent verbal and written communication skills, with the ability to engage effectively with external counterparties and internal stakeholders Familiarity with portfolio construction, risk management frameworks, and performance attribution Strong analytical and financial modeling skills High degree of accountability, sound investment judgment, and ability to operate in a highly entrepreneurial environment Salary: $275,000 - $...

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