Key Responsibilities: Handle trade execution for fixed income and equity products in both new issuance and secondary market environments. Collaborate with the Product team to evaluate product suitability for clients based on regulatory and internal guidelines. Assist in the daily operational workflow of the dealing desk, including trade booking and reconciliation. Provide timely market updates and morning briefings to the sales team to support client engagement. Participate in internal projects
Selby Jennings - Hong Kong - Full time
Salary: Negotiable