Job Description
Our client, a Chinese Banking Group, is now looking an experienced candidate to join their expanding team:
Responsibilities
•Investment performance: achieves superior actual returns in comparison to the set target (specific to each fund/portfolio) over the reporting period whilst maintaining consistency in delivery.
•Research and client review reports: produces regular write-ups that analyzes relevant market environment, outlines investment strategies, comments on periodic results, and compiles the fund/portfolio data to support points made.
• Client and channel communication: meets regulatory and client-designated disclosure standards; and be ready to articulate past actions during review meetings as well as remedy measures should a compliance incident occurred.
•New product inspiration: takes initiative to suggest product ideas deemed to dominate investor demand ahead of the market.
• Coaching junior team members: trains less experienced colleagues on technical skills and best practices, builds cohesive working relationships, and carries forward a culture that emphasizes professional integrity.
Requirements
•Minimum 6 - 8 years’ experience as a fixed-income manager working in established financial institutions.
•Minimum 1 year investing experience in HK$ and CNH debt instruments.
•Holds a Type 9 license and meets SFC standard for Responsible Officer.
•University degree.
•Strong language skills in Putonghua and English.
•Either academically trained in credit analysis or a CFA holder.
Interest parties please visit http://www.rgf-hragent.asia/en/hongkong/
All information received will be kept in strict confidential and only for recruitment purpose.