The successful candidate will provide excellent advisory, wealth management and portfolio management services. This role requires working closely with the other departments such as Private Bank and Brokerage by providing them with customized Fixed Income product and advisory solutions; an expert understanding of wealth credit and Fixed Income are critical to the success of this business. As the Asset Management business grow, the successful candidate is expected to manage fixed income portfolios; hence fixed income portfolio management skill is also important to this role.
Initiate ideas on bond, bond portfolio & bond-related derivatives (e.g. structured products). Design and construct such bond portfolio / structured product. Work with both external and internal parties in product creation;
Advise on bond selection and bond-related portfolio construction for implementation in client portfolios;
Construct, maintain, and managed fixed income portfolios. This include research, selection, and trading individual bonds;
Keep up-to-date with market developments, consider the economic implications of news and other global factors on the performance of securities in the research universe;
Make informed recommendations to RMs, ICs and Clients, including updating all stakeholders on investment/product ideas;
Monitor, report and manage portfolio/product's interest rate, currency and credit risk exposures;
Facilitate the implementation of new product ideas from operational logistics and documentation to product presentation.
Skills & Experience
University/Graduate degree holder with minimum 7 years of relevant working experience in Private Banking/Investment Banking/Wealth Management fixed income advisory and dealing services
Fixed income portfolio management and trading experience will be a big plus
Strong Project Management and Presentation skills. Ability in presenting to front line and other internal stakeholders, meeting with external clients on investment ideas
Solid analytical skills and strong communication skills. Fluent in English and Chinese (Both Cantonese and Mandarin).
To engage in research/due diligent review on bond offering, provide comments/write-up in market update, and evaluation on existing bond portfolio
Timely investment ideas and engage in risk monitoring exercise
Python / R programming skill would be a big plus
Please apply in strict confidence with full resume, academic record, current and expected salaries.
The personal data provided will be used for consideration of recruitment only. All personal data of unsuccessful candidate will be destroyed within 24 months.
Candidates with Enhanced Competency Framework (ECF): please state on the CV.
As a leading investment bank in China and Hong Kong region, the investment banking arm of Bank of China, BOC International Holdings Limited ("BOCI"), is now seeking highly motivated, creative and success-oriented professional who would like to pursue the career for supporting our group.