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Independently manage a Fixed Income portfolio including US, China and Global bonds
Conduct investment research for bond investments including both IG and HY credits
Responsible for P&L monitoring, performance attribution, and scenario analysis of portfolio holding
Implement and improve the operation flow of investment and respective systems
Establish portfolio allocation criteria and process
Represent the fund externally and actively communicate the fund as well as the company's strategies and objectives
Ensure full regulatory compliance with SFC and implement effective internal control mechanisms
University degree in Banking/Finance or any related disciplines
Possess CFA qualification is an advantage
At least 5 years of work experience in Asset Management managing Public Fund
Prrevious working experience in Chinese financial institutions is preferred
Strong understanding of fixed income products (both IG and HY)
Proven track record in managing sizeable investment portfolios
Ability to work under pressure, with strong communication and analytical skills
Excellent presentation and interpersonal skills, a good team player, detail-oriented and self-motivated
Complete fluency in both Chinese (Mandarin) and English
Please email your full resume in MSWORD format to firstname.lastname@example.org quoting the job reference J1093 in the subject field. Your interest will be treated in strict confidence. Only shortlisted candidates will be notified.