- A top tier Chinese Asset Management Company in Hong Kong
- Steadily expanding and enhancing their investment team
The employer is a well-established large organization in the Business Services industry. They are known for their comprehensive financial expertise and commitment to delivering excellence in the Banking & Financial Services sector.
Job Description
As a Fixed Income Research professional, your main responsibilities will include:
- Conduct in-depth credit research and macroeconomic analysis across global and Greater China fixed income markets
- Monitor and evaluate bond issuers, including sovereign, quasi-sovereign, corporate, and financial institutions
- Support portfolio managers with investment recommendations and trade ideas based on rigorous bottom-up and top-down research
- Track market developments, new issuance trends, and regulatory changes impacting fixed income instruments
- Prepare regular research reports, presentations, and investment memos for internal and external stakeholders
- Collaborate closely with trading, portfolio management, and risk teams to ensure alignment of research insights with investment strategies
A successful Fixed Income Research professional should have:
- Minimum 3 years of experience in fixed income research, preferably within asset management, investment banking, or rating agencies
- Strong academic background in finance, economics, or related disciplines; postgraduate degree preferred
- CFA charterholder or equivalent qualification is a plus
- Native Mandarin speaker with excellent command of English
- Proficient in financial modeling, Bloomberg, and data analysis tools (e.g., Python, Excel, SQL)
- Solid understanding of China and global bond markets, including offshore RMB and USD-denominated instruments
- Opportunity to work in a reputable large organization within the Asset Management industry.
- Comprehensive exposure to the Asset Management sector.
- Potential for professional growth and career advancement.
Job ID JN-112025-6876685
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