Key Responsibilities:
- Conduct in-depth credit research and analysis on global investment-grade (IG) bonds to identify high-conviction investment opportunities.
- Execute and optimize trading strategies across G3, Australian, and UK rates markets, ensuring strong risk-adjusted returns.
- Perform daily macroeconomic and fixed income market research to generate actionable trade ideas and enhance portfolio performance.
- Manage FX trading execution for investment purposes and hedging strategies.
- Support portfolio management with administrative tasks, including performance tracking, risk analysis, and reporting.
- Prepare market updates, investment presentations, and ad-hoc analysis for stakeholders.
Requirements:
- Bachelors degree or higher in Economics, Finance, Accounting, or related fields.
- 3-5 years of experience in fixed income research, credit analysis, or trading within buy-side/sell-side firms.
- Proven track record in managing global IG bonds and FX exposure, with experience covering AUM >$50M USD.
- Strong financial modeling skills, with expertise in credit research frameworks, portfolio construction, and risk management.
- Prior FX trading experience is a strong plus.
- Analytical, detail-oriented, and able to thrive in a fast-paced environment.
- Excellent communication skills in English and Mandarin, with the ability to collaborate across teams.
Why Join?
This is a newly created role in a high-growth firm, offering exposure to global fixed income and FX markets alongside a high-performing team. If youre a proactive, results-driven professional looking to take the next step in your career, wed love to hear from you.