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Primarily responsible for corporate credit research and monitoring to complement, broaden and deepen the work of the Portfolio Manager.
Responsible for helping to drive the recommendations for investment, generating ideas and contributing to team discussions and decision making.
Inform corporate level decisions taken by other teams with investment and business exposure and can speak knowledgeably and independently on related topics.
Responsible for the corporate credit investment process and will be expected to contribute to ongoing improvements and refinements to the investment process.
Contribute to the professional development of the other team members involved in corporate credit risk analysis.
Need to build strong relationships and communicate effectively with geographically remote colleagues.
Requires regularly attending seminars, conferences, training courses; reading professional publications, periodicals, research and other related literature; and through maintaining other professional contacts.
Assist in both fixed Income trade & portfolio management.
Carry out other ad hoc assignments as required.
Degree in Economics, Accounting, Finance or related disciplines.
Strong quantitative skills;
Preferably with 3-4 years of working experience in asset management or researcher role;
Be a good team player;
Excellent interpersonal and communicative skills;
Fluent in English, Cantonese and Putonghua;
Proficient in Excel, Word, PowerPoint, Bloomberg and Chinese typing;
Fresh graduates will not be considered.
Interested candidate please send full resume, including date of availability, present and expected salary to firstname.lastname@example.org. All data collected would be used for recruitment purpose only. Applicants who do not hear from us with 10 weeks may consider their application unsuccessful and their data will be destroyed within 12 months.