Fixed Income Portfolio Manager (Asset Management)
Job Responsibilities:
Portfolio Management
- Manage client funds (exposure to Mandatory Provident Fund Schemes would be advantageous), positions and cash flows ensuring investment policy and guideline adherence and consistency;
- Liaise with front and middle office as well as custodian to ensure trades are correctly executed, settled and recorded in timely manner for control purposes;
- Produce risk reports and performance attribution and liaise with global risk and performance teams on reports;
- Produce reports and presentations for internal and external purposes;
- Extensive ad hoc analysis for portfolio managers and clients;
- Responding to client ad hoc requests and query resolutions (both internal and external).
Fixed Income Credit Analysis
- Conduct research and analysis on the overall financial strength and repayment capability of individual bond issuers in Asia, including investment grad and high yield;
- Conduct relative value analysis on an issue specific basis;
- Participate in regional and global investment committees as they relate to Asian fixed income.
Job Requirements:
- Degree level education and or CFA desirable.
- Minimum 5 years fixed income portfolio management and specifically experience with the Asian corporate bond market.
- An independent thinker willing to work outside the box and willing to take on additional responsibilities should they arise.
- The ideal candidate will combine individual drive with flexibility and team-orientated qualities.
- Attention to detail.
- Fluency in English and Chinese (Cantonese or Mandarin) is a MUST.
- Be self-motivated/ self managed; able to work in a collegial, minimally supervised environment.
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