Job Responsibilities :
Monitor and manage the bond investment portfolio to achieve business targets
Conduct credit analysis on corporates and compose limit application / regular review reports
Execute bond transactions in accordance with internal risk management framework
Provide internal and regulatory reports
Participate in ad-hoc system enhancement projects when required
Job Requirements :
Bachelor degree holder with at least 5 years of relevant experience
Familiar with MS Word, Excel and Bloomberg
Good understanding of financial market and fixed income products
Experience in China credit market
Knowledge in regulatory requirements (such as LMR, LCR calculation) and accounting treatment (such as IAS39 / IFRS9) of bond investment in commercial bank
Good command of English and Chinese
Interested candidates please apply in full resume with earliest availability, contact number, current & expected salary to HR Department by e-mail.
Personal data provided will be used for recruitment and related purposes, strictly in accordance with our Personal Data Policy for Applicants for Employment, a copy of which is available on request.
Applicants who are not contacted within 6 weeks may consider your applications unsuccessful and the personal data collected will be destroyed after six months.