This role involves constructing and managing fixed income portfolios tailored to client goals, risk tolerance, and regulatory guidelines.
The ideal candidate should 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 a must. Experience in fixed income trading on the sell-side is a plus. Knowledge of DM credit would be advantageous. The candidate should be diligent, responsible, and willing to take risks. Being able to perform some responsibilities as a Client Portfolio Manager is essential.