Responsibilities:
To assist in managing investment productssuch as credit, rates and China on/offshore bonds in bank portfolio and involve in hedging derivatives
Generate investment strategies to improve overall portfolio return
Manage and monitor portfolio positions in Bank, P&L and market risks
Provide market color and quotations to Sales team and other departments for client needs
Conduct research on industry trend, market conditions and issuer credit quality to support investment activities
Prepare materials and present proposal in the investment Committee and ALCO
Perform ad hoc duties as required
Requirements:
Bachelor degree or above, major in Finance, Economics, Accounting or related disciplines
At least 3 years of relevant experience in fixed income portfolio management
Holder of SFC Type 1, 4 license, TMA membership, CFA qualification is preferred
Experienced in marketing making activities is an advantage
Familiar with China onshore and offshore fixed income market and in good connection with major market participant
Thorough understanding of investment principles, macro economy, existing industry standards and regulatory requirements
Strong analytical, communication and interpersonal skills
Excellent written and spoken in English and Chinese, Mandarin is preferable
Proficiency in Bloomberg, Tradeweb, MS Word, Excel and PowerPoint
Please quote the Reference No.: CV_ GMT_FIP_2025 in your application.
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刊登於 4日前