This role involves constructing and managing fixed income portfolios to align with client goals, risk tolerance, and regulatory guidelines. The successful candidate will execute trades, rebalance portfolios, and participate in client meetings and business development activities.
The ideal candidate will have 8 to 10 years or more of offshore fixed income investment, trading, or credit analytics experience. A degree is required, and fluency in Mandarin and English is necessary. Experience in fixed income trading on the sell-side is a plus. Knowledge of DM credit and a reasonable approach to risk-taking are desirable qualities.
Degree holder with 8-10+ years of offshore fixed income investment, trading, or credit analytics experience. Fluent in Mandarin and English. Experience in fixed income trading on the sell-side is a plus. Knowledge of DM credit is desirable. Must be diligent, responsible, and willing to take risks.
- Competitive salary
- Health benefits
- Opportunities for growth and development
- Collaborative work environment
[Company Name] is a leading financial services firm dedicated to providing exceptional investment solutions to clients worldwide. We value expertise, innovation, and a client-centric approach in everything we do.