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This role will be responsible for fixed income portfolio management and the corresponding sub-team leadership, requiring close collaboration with different functions or stakeholders. The successful candidate will leverage diverse investment tools (including but not limited to bonds, segregated accounts, and non-standard assets, etc.) to formulate investment strategies that achieve proper returns aligned with product risk, while ensuring effective risk control.
Job Responsibility:
Manage fixed income portfolios for wealth management products based on investors’ risk appetite, macro policies, market changes, and other factors
Lead the corresponding team within the strategic framework of the fixed income business, to develop and execute investment strategies
Research and onboard new assets /instruments, and drive team initiatives
Partner with product and sales team to support product strategy design and participate in sales roadshows
Maintain overall portfolio compliance respecting to portfolio guidelines and organize the resolution of issues through cross-team collaboration
Requirements:
Postgraduate degree, CFA, and/or similar professional qualification preferred
Minimum 10 years’ working experience in domestic or foreign asset management company
At least 6 years’ portfolio management experience
Prior experience in managing open-end/closed-end fixed income products in bank’s wealth management companies
Expertise in direct bond investments and non-standard assets
Good knowledge and experience of the China bond markets, market practices, participants, and regulatory environment
Strong process-oriented background including the introduction of controls & procedures
Able to demonstrate keen awareness of operational risk issues
Excellent communication and presentation skills
Fluent in Mandarin and English
Strong organizational and project management skills
Ability to function effectively in an unstructured, fast-paced environment
Strong work ethic
Ability to work well under pressure as a team player