Career
Fixed Income Portfolio Manager
Hong Kong, Hong Kong
About our client: Top Chinese Asset Management Firm. Job responsibilities: - Develop and implement fixed income investment strategies to achieve client objectives and maximize returns. - Conduct thorough market research and analysis to identify investment opportunities and risks in the fixed income market. - Manage a diversified portfolio of fixed income securities, including government bonds, corporate bonds, and other debt instruments. - Monitor and evaluate portfolio performance, making adjustments as necessary to align with market conditions and investment goals. - Collaborate with research analysts and other investment professionals to gather insights and support investment decisions. - Prepare and present detailed investment reports and performance reviews to clients and senior management. - Ensure compliance with regulatory requirements and internal policies in all investment activities. - Stay informed about global economic trends, interest rate movements, and other factors impacting the fixed income market. Job requirements: - Bachelor's degree in Finance, Economics, or a related field; advanced degree or CFA designation preferred. - 5–10 years of solid experience in interest rate strategy and portfolio management; bank proprietary trading background strongly preferred. - Proven track record of managing fixed income portfolios and achieving performance targets. - Excellent analytical and quantitative skills, with the ability to interpret complex financial data. - Strong communication and presentation skills, with the ability to articulate investment strategies and performance to clients and stakeholders. - Proficiency in financial modeling and portfolio management software. - Fluency in Mandarin and English is required.
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