Fixed Income Portfolio Manager (For HK Resident only) Fixed Income Portfolio Manager (For HK Resident  …

Sparc Capital Management Limited
in Hong Kong
Permanent, Full time
Last application, 21 Jul 21
Sparc Capital Management Limited
in Hong Kong
Permanent, Full time
Last application, 21 Jul 21
An exciting opportunity to join a start-up asset management firm specializing in structured fixed income products. We are now looking for high caliber candidates who would like to join as Portfolio Manager to manage our portfolio. (Only available to Hong Kong residents)

Primary Duties and Responsibilities

  • Implement and execute fund’s strategy in structured fixed income
  • Manage portfolios consistently across accounts while balancing unique objectives for each client
  • Source, analyze, trade and monitor individual securities in the municipal, corporate, and government sectors, primarily
  • Contribute to fund’s overall fixed income strategy as a member of investment committee
  • Maintain third party relationships to ensure proper coverage and best execution

Experience and Education

  • 5 years or more of experience in fixed income fund is preferred
  • Experience in structured fixed income products is a plus
  • Bachelor’s Degree required; CFA designation a plus
  • Holder of license of SFC Type 4 & 9, RO is not a must, but a plus


  • Extensive knowledge of financial markets/instruments/regulations, economic theories and relationships, valuation tools, etc.
  • Strong understanding of fixed income products, including structured and securitized products.
  • Excellent communication skills and ability to work with other team members toward a common goal
  • Flexibility and adaptability to a dynamic environment within a growing firm.  A strong team player.
  • High level of integrity and strong ethical standards
  • Proficiency in Bloomberg, Excel, and other research/data compilation tools

Job Responsibilities

  • Independently manage a structured fixed Income portfolio
  • Conduct investment research and analysis, and provide support in structuring and negotiating potential deals.
  • Construct portfolio and manage liquidity.
  • Responsible for P&L monitoring, performance attribution, and scenario analysis of portfolio holding
  • Represent the fund externally and actively communicate the fund as well as the company's strategies and objectives
  • Ensure full regulatory compliance with SFC and implement effective internal control mechanisms
Sparc Capital Management Limited logo
More Jobs Like This
See more jobs