PORTFOLIO MANAGER – ASIA FIXED INCOME recruitment

• Buy side Opportunity

• Asia Debts and Currencies

Reporting to the CIO, your main task is to manage the Asia debts and currencies portfolios both from a long only and an absolute return basis, and to deliver a sustainable positive return. Your key responsibilities will be creating and maintaining model portfolios for management of assets with an absolute return cash benchmark to meet a target return objective; developing an investment process for the Asian currency and debt universe (sovereign and corporate); making all buy and sell decisions of securities within the segment and at all times, conducting investment analysis on all Asian debts and currencies, and other major global currencies, based on fundamental research.

To qualify, you must be an astute portfolio manager with over 5 years of continuous experience with investment management firms in Asia. Solid experience in managing Asia debts and currencies portfolios is a must to succeed this role. You must also have a mindset of working effectively to analyze market and companies with minimal guidance.

To apply for this job

Contact: Bryan Lim quoting job ref: VSA-1051

Telephone: 852 - 2297 2346

Email: blim@valuesearchasia.com