Primary Responsibilities
Solid understanding and experience on offshore fixed income securities, especially LGFV, SOE and financials. Sector research experience and quoting resources are highly appreciated;
Perform trade execution in an accurate and efficient manner, generate trading ideas and report to the senior, as well as cover equity derivatives or structured products if needed;
Assist Portfolio Manager to prepare quantitative and qualitative analysis and marketing materials;connect with brokers, sell-side analysts and economists for market intelligence and investment ideas;
Liaise with various functions such as product, back office to handle various business requirements and streamline the trading settlement cycle;Manage risk and ensure compliance with trading regulations
Provide investment-related supports including market updates, model portfolio set-up to internal and external clients;
Hold inquisitive and entrepreneurial mindset and maintain the curiosity to push knowledge boundary.
Candidate Requirements:
Bachelor's Degree holder or above in Financial Engineering, Mathematics or quantitative related fields from prestigious universities; Strong quantitative analysis skills, programming skills a plus;
4-6 years of trading experience in fixed income at recognized financial institutions. Multi-asset experience in equities, options or structured products is a big plus;
Proven track record of originating and closing fixed income and equity derivative deals;
Ability to establish a strong network across the industry. Hold the mindset to work independently to drive growth in bond and equity business.
Excellent command of English, Cantonese and Mandarin.
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