Job Description :
Responsibilities- To manage Fixed Income portfolio and formulate investment strategy
- To conduct investment research for bond investments including both investment grade and high yield credits
- To be responsible for P&L monitoring, performance attribution, and scenario analysis of portfolio holding
- To implement and improve the operation flow of investment and respective systems;
- To establish portfolio allocation criteria and process
- To represent the fund externally and actively communicate the fund as well as the company’s strategies and objectives
- To ensure full regulatory compliance with SFC and implement effective internal control mechanisms
Requirements:- Degree or above, min 3 years’ relevant experience with good investment track record
- Excellent quantitative, analytical and communication skills, able to work well under pressure and tight deadlines, and have the aptitude to synthe large amounts of information and develop innovative solutions
- Excellent command of spoken and written English and Chinese (Mandarin a must)
Interested candidates please send your resume to
[Confidential Information] OR contact us at
2520 0104.