Portfolio Manager – Fixed Income recruitment
Responsibilities:
-Co-managing of Fixed Income Portfolios (hard and local currencies), mainly Asian focus
-As part of the Asian fixed-income team, ensure portfolios reflect the currently-held views and convictions
-Conducting bond trading or execution independently
-Research responsibility for bond issues, mainly Asian names
-Conduct related industry and company research
-Preparation of research reports and marketing material
Requirements:
-Degree holder with 5-7 years’ relevant experience
-Good knowledge of fixed income market, Asian region in particular
-Strong analytical skill, both quantitatively and qualitatively
-Strong communicator, able to engage with colleagues
-Excellent written and spoken English as well as decent communication skill in Putonghua
-Willingness and ability to work independently in a challenging environment
-Capable of working proactively to bring new ideas into the team
-CFA holder preferable