Bond Portfolio Manager
Our client is a PRC bank in Hong Kong.
The job:
- Select, pick and manage the bond portfolio by using bank’s funds independently.
- Manage the bank's liquidity portfolio (banking book) with deployment of bank's capital and surplus fund in different currency
- Manager of the investment portfolio of the bank.
- Manage a stable and profitable portfolio such that the bank can benefit from its stable income stream as well as liquidity on the surplus cash.
- Portfolio is primarily consisted of fixed income investment such as government and credit bonds, Asset Backed Securities, structured products, as well as some best rated corporate bonds.
- Work with the Treasurer and the CFO to run the liquidity position for the Bank.
The requirements
- At least 5 years as bonds portfolio manager for a bank
- Credit and research background, preferable a CFA
- Holder of a good degree in business discipline
- Excellent command of Chinese and English
Please send cv to the attention of Thomson.ng@globalassociates.com cc cv@globalassociates.com.
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