Responsibilities:
- Perform fundamental research on the, but not limited to, Greater China property sector with the purpose of making investment recommendations to the US$200 high yield USD bond fund
- Execute and monitor trade orders for the offshore bond market
- Perform top-down macroeconomic research as necessary to gauge market conditions and make relevant forecasts
Requirements:
- 5-6+ years of credit research or trading experience
- Knowledgeable in fixed income markets, including Hong Kong/Chinese/Overseas equities, onshore/offshore bonds, etc.
- Fluent in both English and Chinese (Mandarin is a must)
- Able to work under pressure and can perform as a good team player