Fixed Income Portfolio Manager (Chinese leading securities ) (82008) Central and Western District, Hong Kong

Key Responsibilities:

  • Manage fixed income investment portfolios under relevant regulations and specific requirements
  • Conduct thorough market research and analysis to identify investment opportunities
  • Identify credit trends and event driven opportunities across fixed income markets, employing both directional and relative value trades
  • Develop and implement investment strategies based on macroeconomic trends, interest rate forecasts, and credit analysis
  • Contribute to the development of new fixed income products and investment solutions to meet evolving client needs
  • Evaluate credit risk and assess the quality of bond issuers and money market instruments

Job requirements

 

  • Bachelor’s degree in Finance, Economics, Engineering, Mathematics
  • Candidate with a quantitative discipline with CFA designation strongly preferred
  • 5 -8 years of experience in fixed income portfolio management
  • Strong understanding of fixed income products, money market instruments, and relevant regulatory frameworks
  • Prior experience managing SFC authorized public fund (experience as KIP) preferred
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