Asia Credit Analyst / Portfolio Manager

JOB DESCRIPTION

Asia Ex Japan Credit analysis: To follow, analyze and make buy, sell or hold recommendations on Asian credits issuers from a defined universe.

Credit Model and monitoring: To monitor of companies headline news and earnings, to update credit models to reflect latest results / forecasts and track investment impact of holdings

Investment Decision: To apply agreed investment strategies  to individual portfolios and funds, taking into consideration the benchmark, risk appetite, guidelines and legal restrictions for each account.

Portfolio Management: To implement / To manage Asian fixed income funds regarding investment decisions and strategy and in compliance with the investment guidelines.

Investment Process: To contribute to ongoing improvements and refinements to the investment process to ensure that the organization's product offerings are attractive on a risk - return basis.

Investment Policy: To attend regular and ad-hoc investment meetings and to make an active contribution to Asian corporate credits strategies

Continuous Professional Development: to maintain current knowledge and understanding of developments in the Asian fixed income business through regularly attending seminars, conferences, training courses,  through reading professional publications, periodicals, research and other related literature, and through maintaining other professional contacts.

REQUIREMENTS

August 20, 2013 • Tags: , • Posted in: Financial

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