Main Responsibilities :
- Assist to formulate Debt Investment Strategy
- Leverage on market intelligence to make debt investment recommendations
-Conduct Macroeconomics research
- Execute bond transactions within given risk limits
- Assist in debt securities portfolio management to achieve profit target
- Prepare analytical reports on market updates and portfolio review
- Undertake credit analysis and make rebalancing recommendations
Requirements :
- Bachelor degree holder or above, preferable Banking, Finance or STEM related majors
- Minimum 3 years experience in fixed income related working experience including fixed income trading, credit analysis, asset management, etc.
- Experience in Macroeconomics research is definitely an advantage
- Qualification in ECF is preferred
- Proficiency in computer applications including Bloomberg Terminal, MS Office/ Excel/ Words/PPT
- Good command of both spoken and written English and Chinese, including Mandarin
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