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Conducting in-depth credit analysis and monitoring issuer credit quality, assessing financial health, creditworthiness, and risk profiles;
Tracking macroeconomic trends and industry developments;
Performing relative value analysis to compare bonds;
Assess credit risk, evaluate bond issuers and provide actionable recommendations to support portfolio management and investment strategies;
Create and maintain detailed financial models to aid in analyzing existing and prospective investments.
Requirements:
At least 5 years of credit analysis experience focused on fixed income products;
Familiar with fixed income market and China's macroeconomics, experience in LGFV research is a plus;
Strong analytical skills and communication abilities;
Proficiency in Mandarin and English;
Bachelor's degree in finance, economics, or accounting.
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