Main Responsibilities
- Formulate debt trading strategies.
- Develop buy-side investor & counterparty network (including onshore & offshore)
- React to bond quotation for clients.
- Explore market opportunities and initiate bond trade transactions within given risk limits to achieve profit target.
- Prepare analytical reports and commentary on market updates.
- Promote new product innovation, system enhancement and business development related to trading and market making.
Requirements
- Bachelor degree holder or above, preferable Banking, Finance or STEM related majors
- Minimum 2 years of working experience in fixed income sales or trading.
- ECF-TM qualification is preferable.
- Licensed with HKMA/SFC for Type 1 and 4 activities are preferred.
- Proficiency in computer applications including MS Office/ Excel/ Word/ PPT, Bloomberg, Tradeweb and Refinitiv EIKON.
- Self-motivated with strong communication, interpersonal and analytical skills.
- Good command of both spoken and written English and Chinese, including Mandarin.
Applicants who are not contacted within 8 weeks may consider their applications unsuccessful and their personal data will be retained by the bank for a period up to two years.
All information provided by applicants will be used for recruitment purposes only and will be used strictly in accordance with the bank's personal data policies, a copy of which will be provided upon request.
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