Global alternative manager Corporate private credit strategy including investing through mezzanine structures Newly created role with mentorship from seasoned credit investors and part of an APAC division Our client is a global fund manager, one of the largest and well known multi strategy private markets investors in the world. In Australia, they operate across a range of strategies. The role will be within the private credit fund which invests into large cap private credit deals from senior secured through to mezzanine positions. Coverage is across the full spectrum of corporate finance excluding real estate and core infrastructure type assets. This will include unitranche, TLB deals through to the full suite of warehousing and securitisation assets and hybrid capital deals. The role is for an investment banking candidate within a global organisation who has had coverage in leveraged finance, general industrials or financial sponsors. We will also consider candidates from resources or infrastructure teams, if the candidate can highlight their understanding of cashflow businesses and debt modelling. The candidate will likely have between 2 and 4 years professional experience in investment banking since graduating. The candidate will have a foundational investment framework and have a mind for managing downside risk, laying the foundations for a strong private credit investor. This is a highly reputable team in the market with a large volume of dry powder and clear growth aspirations. The team is high performing and some of the best in the industry. Please reach out to Harriet King for a confidential discussion via email harriet.kingplatinumpacificpartners.com.au