Responsibilities :
Manage fixed income portfolios, focusing on USD debt securities.
Development and communication of macro economy, policy, sector and portfolio construction strategies.
Fundamental approach Research and communicate with analysts for credit analysis.
Communicate with traders for trades, fund flows and market situations.
Monitor market activities and interviews with potential issuers.
Participate in business and product development.
Support ad hoc tasks and provide periodic reports.
Requirement :
Degree in Economics, Finance, Accounting or related disciplines, CFA charter holder is preferred.
Minimum of 3 years portfolio management experience with outstanding performance.
Good Knowledge of financial derivatives and structure products.
Strong work ethic and attention to details.
Strong communication skills with fluent English and Chinese, Putonghua is a must.
Our workplace reflects our values : Integrity, Passion, Teamwork, Client First and Gratitude. We value different views and encourage our people to develop to their full potential.
We provide attractive remuneration package, professional & friendly working atmosphere, and career path opportunity in a leading buy side house to right candidates.
Interested parties please email your full resume with current and expected salary to karilai chinauniversalasset.com.
All information provided by applicants will be kept confidential and will be used in accordance with the Company’s Personal Data Collection Statement, which is available upon request.