Responsibilities
- Support Portfolio Manager on conducting market research
- Responsible for performing fundamental credit analysis on issuers/counterparties
- Actively monitor latest developments related to the investment portfolios
- Handle other ad-hoc projects/requests as needed
Requirements
- Bachelors degree in accounting and finance or related field CPA or CFA preferred
- At least 3 years experience in credit research and financial modelling
- Good knowledge on fixed income products
- Strong analytical communication and interpersonal skills
- Excellent command of English Cantonese and Mandarin
All information collected will be kept in strict confidence and will only be used for recruitment purpose. Only shortlisted candidates will be notified.
Required Experience:
IC