Responsibilities:
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Conducting in-depth research and analysis of onshore (especially CIBM) and offshore bond markets;
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Perform credit risk assessment, yield curve analysis to support investment decisions;
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Monitor and analyze FX market, and execute FX spot/forward/swap transactions and manage currency hedging strategies;
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Be responsible for marketing and daily follow-up with target clients;
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Participate in developing the marketing & promotion materials for asset management products and strategies.
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Requirements:
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Bachelor Degree or above, majored in Finance, Accounting, Economics, Mathematics;
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Preferred with CFA, FRM, CPA or ACCA;
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At least 3 years or above of experience in asset management, especially bond investments (CIBM and offshore) and FX trading/analysis;
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Be able to conduct the research and analysis on the investment;
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Work & communicate effectively with the third party and clients (verbally or written);
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Be able to conduct effective analysis on the emergencies or unexpected events and take immediate actions;
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Attention to details;
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Be proficient in Mandarin, Cantonese and English;
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With strong sense of risk management;
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With team spirits and collaboration;
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Be capable in verbal and written communication;
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With high work efficiency & independency;
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Strong at time management.
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Data collected would be used for recruitment purpose only.