Credit Analyst / Trader (2 Vacancies) - Asset Management - URGENT!

Employer
GF International Investment Management Limited
Location
Hong Kong, Hong Kong
Salary
N.A
Posted
Jun 29, 2021
Closes
Jul 29, 2021
Ref
11355001
Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
We are seeking TWO high-caliber candidates to join our Research and Investment team. Visa holders are welcomed.

Credit Analyst 信用分析師

Job description
  • Support Fixed Income Portfolio Managers on market fundamentals research, portfolio management, and investment decisions.
  • Work with other credit analysts at the firm and conduct the fundamental credit and sectors analysis for the global bond market.
  • Good understanding of the risks of fixed income securities and underlying companies.
  • Provide quality research reports and ensure the market materials comply with internal and external guidelines.
  • Perform other ad-hoc projects as assigned.

Requirements
  • 2~3 years relevant experience in fixed income/credit research is MUST. Fresh graduates are not encouraged to apply.
  • Master Degree in Economics, Finance or related disciplines from top universities, CFA or FRM holder is preferred.
  • Proficient in Bloomberg, Wind, and MS Office applications.
  • Good experience and knowledge on overseas fixed income market, fundamentals of bond issuers, and financial statement analysis.
  • A team player with self-motivated, target-oriented, and hard working.
  • Immediate or Short notice preferred. IANG visa holders or Visa holders are welcomed.


Trader 交易員(No shift duty)

Job description
  • Execute equities, fixed income, repo and derivatives trades orders in an accurate, timely and effective manner. Managing Cash, FX positions in all portfolios.
  • Maintain high proficiency and on-going learning in all trading and information systems and processes to promote maximum efficiency of trading tools.
  • Assist Equity and Fixed Income portfolio managers to monitor positions, P&L and market risks.
  • Initiate and advise portfolio managers on good potential trading strategies based on rigorous analysis and strong evidence.
  • Work collaboratively across multiple internal teams including Portfolio Managers, Compliance, Risk, and Operations; Liaise with external broker, fund administrator etc.

Requirements
  • Bachelor degree or above holder from recognized university.
  • 2~3 years' experience in equity execution, ideally from Buy-side but not necessary.
  • Holder of SFC Type 1, 4 & 9 License.
  • Proficiency in Excel and Bloomberg.
  • Communicate effectively in both written and spoken Mandarin and English.
  • A team player and work collaboratively with multiple constituents.
  • Well-organized, detail-oriented, and self-motivated with a strong sense of responsibility.


Candidates will be notified within 2 weeks after your submission.

Interested parties please send your full resume with expected salary (Please quote the job title on the subject) to hr@gffunds.com.hk or click " Apply " button for job application.

All information provided by applicants will be kept confidential and will be used in accordance with the Company's Personal Data Collection Statement, which is available upon request.

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