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Director, Portfolio Manager, Asset Management

Open 35d

Key Areas of Responsibilities

  • Construct and manage fixed income portfolios in line with client goals, risk tolerance, and regulatory guidelines.

    • Execute trades and rebalance portfolios based on market conditions and macroeconomic trends.

    • Act as some client portfolio manager’s responsibilities and which this part is no less than ½ of the core responsibilities.

    • Assist some client meeting and business development routines

    • Follow and execute daily portfolio management/investment routines based on portfolio management team’s instructions and asset allocation decisions

    • Development and enhancement of current existing strategy based on personal knowledge and strength.


Requirements

  • 8 to 10 years and above offshore fixed income investment, or trading, or credit analytics experiences

  • Master's degree or above

  • Fluent in Mandarin and English is required.

  • Experience of fixed income trading sell-side business is a plus.

  • Knowledge of DM credit would be a plus.

  • Diligent, responsible, reasonable in risk taking activities.

  • Happy to perform part of responsibilities as of Client Portfolio Manager.

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