Fixed Income Portfolio Manager, Asset Management (HK$75K - $80K)
Our client, a Leading Investment Bank is looking for high-caliber person to fill the position
工作職責
- Manage Fixed Income Portfolio management for Asset Management business
- Solicit and research, credit analysis and risk assessment across fixed income assets for appropriate Government Bonds, Credit Bonds, Asset-Backed Securities, Fixed Income Portfolio according to asset management clients’ needs and the investment environment
- Strengthen alternative / cross-border investment portfolio including China / HK / Asia-Pacific Asset Class for asset management accounts
- Prepare investment reports / research and due diligence on investment targets
工作要求
- University degree holder in Finance / Economics
- SFC License Type 9 Holder
- 10 years’ experience in Buy-Side Role in Fixed Income Portfolio Management with Asset Management Sector
- Strong in Bond Pricing, Credit Cycles, Interest Rate Markets for managing medium to large-sized Fixed Income Portfolios.
- Familiar with solicitation and research for appropriate Public Funds, Bonds Investment, Fixed Income
- Portfolio from Public Funds Sectors / Bank Wealth Management Subsidiaries / Securities Asset Management Institutions. Insurance Asset Management
- Self-initiative, independent with good interpersonal and communication skills
- Able to exercise judgment, work under pressure and liaise effectively with the business and supporting units
- Excellent command of spoken and written Chinese and English including Cantonese and Putonghua
- 職位編號:
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27872
- 日期:
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07/09/2026
- 工作類別:
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銀行業
- 薪金範圍:
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$Neg.
- 學歷要求:
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Degree
- 聯絡電郵:
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[email protected]
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