- A top tier Chinese Asset Management Company in Hong Kong
- Steadily expanding their overseas business strategically
About Our Client This Hong Kong-based asset management firm, with over a decade of establishment, operates as the overseas arm of a leading mainland fund house and holds Type 1, Type 4, and Type 9 licences issued by the Hong Kong Securities and Futures Commission. It provides investment management services across equities, fixed income, private funds, and multi-asset strategies, serving a sophisticated global client base that includes sovereign wealth funds, insurers, pensions, endowments, corporates, and family offices.
Leveraging deep research capabilities and strong support from its Mainlad headquarters, the firm integrates onshore and offshore investment expertise, with particular strengths in Hong Kong and U.S.-listed Chinese equities as well as offshore credit markets. It has been expanding its Hong Kong presence as part of its broader international growth strategy, supported by a diverse talent pool and a commitment to connecting global investors with Chinese markets.
Job Description - Money Market Fund Management
- Manage or assist in managing money market fund portfolios in accordance with the firm's investment philosophy, risk framework, and compliance standards.
- Monitor portfolio liquidity, duration, credit exposure, and overall performance.
- Money Market Research & Analysis
- Conduct in-depth research on money market instruments, liquidity conditions, short-term rates, monetary policies, and macro trends.
- Generate data-driven insights and investment recommendations to support portfolio strategy.
- Counterparty Relationship Management
- Maintain and develop strong working relationships with banks, brokers, and other trading counterparties.
- Stay abreast of market flows, funding conditions, and execution opportunities through active communication.
- Product & Business Development
- Participate in the development of new money market and liquidity management products.
- Support broader business expansion initiatives aligned with the firm's overseas strategy.
Additonal:
- Professional Experience
- 3-5 years of hands-on experience in managing or assisting in the management of money market funds.
- Proven track record of strong performance and disciplined risk management.
- Market Expertise
- Deep understanding of the money market environment, including instruments such as CDs, CPs, repos, short-term bonds, and liquidity products.
- Solid research capability with the ability to translate market insights into actionable investment decisions.
- Product & Market Insight
- Comprehensive knowledge of money market fund products, regulatory frameworks, and evolving market development trends.
Experience with offshore RMB, HKD, and USD liquidity markets is a strong advantage.
The Successful Applicant - Bachelor's degree or above in Finance, Economics, Investment, or related discipline.
- Professional credentials (e.g., CFA) preferred but not required.
- Strong analytical, communication, and stakeholder management skills.
- Fluent in Mandarin and English; proficiency in written Chinese is an advantage.
What's on Offer - A pivotal role in a fast-growing Hong Kong investment platform of a leading Chinese asset manager.
- Direct impact on portfolio performance, product innovation, and cross-border business initiatives.
- Collaborative team culture and strong support from senior management.
- Excellent career progression within a rapidly expanding offshore investment team.