Responsibilities:
- Oversee a trading book, achieving budgeted revenues, analyzing market trends and managing risk
- Execute trades across a broad range of credit instruments, including investment-grade bonds, high-yield bonds, financial bonds, emerging market credit, Repo, and credit derivatives
- Demonstrate strong market instincts and quantitative capabilities, making timely and accurate trading decisions in a dynamic environment
- Assess risk/reward of transactions and ensure decisions reflect appropriate risk consideration and adherence to internal guidelines
- Maintain an active trading strategy and provide timely and insightful market colour to the sales team
- Participates in special projects and performs other ad hoc duties as assigned
Ideal candidates are expected to possess:
- Degree holder in Finance, Economics, Mathematics, or related disciplines
- Minimum 5 - 8 years of trading or comparable experience in a credit trading risk-focused role
- Self-starter who thrives in a fast-paced and dynamic environment
- Proven track record in taking and managing risk in a variety of products
- Excellent communication and interpersonal skills
- Strong team player with adaptability and cross-functional collaboration skills
- Good command of written and spoken English and Chinese (Mandarin & Cantonese)
- Knowledge of Bloomberg, booking systems, trading protocol, and closing technicalities