Responsibilities:
- Responsible for managing and monitoring the lifecycle of products for asset management business covering mutual funds, private funds domiciled in Hong Kong and Cayman Islands, as well as cross-border schemes such as QDII, RQFII, Bond Connect and Cross-boundary Wealth Management Connect;
- Providing product technical support and suggestions to business;
- Working across investment, marketing teams and external advisors to ensure initiatives are properly aligned with regulations;
- Conducting review and reports on existing products, market trends, and peer companies on regular and ad-hoc basis;
- Preparing materials according to internal and external requirements; and
- Other AD hoc duties as assigned by the supervisor.
Requirements:
- Bachelor's Degree holder or above in Economics, Finance, Accounting or related field;
- With 3-5 years' of relevant experience gained in asset management / wealth management industry;
- With solid knowledge of investment funds and asset management products (including Hong Kong Unit trusts / OFCs, Cayman SPCs);
- With superior analytical skills of market trends and peer products in Hong Kong fund industry;
- With excellent communication and solution driven abilities;
- With strong software knowledge, i.e. Bloomberg, MS Excel and PowerPoint; and
- Good command in written and oral English and Chinese including Putonghua.
Please click "Apply Now" to submit your application with CV attached stating both the existing and expected salary. Personal data collected will be used for recruitment purposes only.