Responsibilities
- Conduct credit research and analysis on global investment-grade bonds to identify investment opportunities
- Execute trading strategies across G3, Australian, and UK rate markets
- Perform daily macroeconomic and bond market research to identify investment opportunities and generate trading ideas for portfolio enhancement
- Execute FX trades for investment-related or share-class hedging
- Support the portfolio management team with other administrative tasks
- Perform ad-hoc duties, such as compiling market data and preparing presentation materials
Requirements
- Bachelors degree or above in Economics, Finance, Accounting, or a related discipline
- 3–5 years of experience in fixed income research and investment, within buy-side or sell-side institutions
- Strong financial analysis capabilities, familiar with credit research framework, and a sound understanding of portfolio construction and risk-adjusted returns. FX trading experience is preferred
- Team player, enthusiasm for challenges, and the ability to perform under pressure
- Excellent logical reasoning, analytical thinking, and interpersonal communication skills
- Fluent in English and Mandarin
*Personal data collected will be used for recruitment purposes only*