1 周前发布

Fixed Income Trader – Global Markets

Shanghai Pudong Development Bank Co., Ltd., Hong Kong Branch

职位描述

Shanghai Pudong Development Bank Co. Ltd (SPD Bank), (stock code 600000) incorporated on January 9, 1993, is a reputable listed joint-stock commercial bank with its headquarter located in Shanghai. SPD Bank has a high standing in China’s financial market for its outstanding performance and business integrity. Globally, SPD Bank ranks 18th on the list of “Top 1000 World Banks 2022” released by The Banker, being 9th among the Chinese banks. In 2021, our sound competitiveness has also led us to 201th in Fortune Global 500, being 8th among Chinese banks.

As the first overseas branch of SPD Bank, the Hong Kong Branch has succeeded in becoming one of the most fully fledged joint stock banks in Hong Kong. Since its opening in June 2011, SPD Bank Hong Kong Branch has developed to become a progressive bank which offers suitable financial solutions and products to our clients. We provide banking services covering international trade financing, cross-border business, corporate and institutional financing, global market business, deposit taking and private banking, etc. With the goal of gaining strong market recognition and reputation, we not only focus on proactive and prudent business expansion, but also talent investment. We respect and care about our employees, and offer good career development opportunities. In order to cope with our expansion, we invite high-caliber talents to become part of our team and to join us on our journey towards a brighter future.

Please visit our website: https://news.spdb.com.cn/overseas\_institutions/hk\_bank/ for more information.

Responsibilities:

  • To assist in managing investment productssuch as credit, rates and China on/offshore bonds in bank portfolio and involve in hedging derivatives

  • Generate investment strategies to improve overall portfolio return

  • Manage and monitor portfolio positions in Bank, P&L and market risks

  • Provide market color and quotations to Sales team and other departments for client needs

  • Conduct research on industry trend, market conditions and issuer credit quality to support investment activities

  • Prepare materials and present proposal in the investment Committee and ALCO

  • Perform ad hoc duties as required

    Requirements:

  • Bachelor degree or above, major in Finance, Economics, Accounting or related disciplines

  • At least 3 years of relevant experience in fixed income portfolio management

  • Holder of SFC Type 1, 4 license, TMA membership, CFA qualification is preferred

  • Experienced in marketing making activities is an advantage

  • Familiar with China onshore and offshore fixed income market and in good connection with major market participant

  • Thorough understanding of investment principles, macro economy, existing industry standards and regulatory requirements

  • Strong analytical, communication and interpersonal skills

  • Excellent written and spoken in English and Chinese, Mandarin is preferable

  • Proficiency in Bloomberg, Tradeweb, MS Word, Excel and PowerPoint

Please quote the Reference No.: CV_ GMT_FIP_2025 in your application.

Our Bank offers attractive remuneration package to chosen candidates. Interested parties please apply with full resume stating expected salary and contact phone number via Apply Now.

All applications will be treated in the strictest confidence and personal data collected will be used for recruitment purpose only.

其他细节

职位空缺来源
CTgoodjobs
参考编号
3151749-01#0175
发布日期
2025年11月28日
关键词
Banking / Finance - Dealing / Trading, Banking, Full-time, Middle management level, Degree, ALCO, Accounting, Analytical, Bloomberg, Bonds, CFA, Credit, Dealer, Derivatives, Economics, Finance, Fixed Income, Hedging, Interpersonal Skills, Investment, Investment Strategies, Macros, Mandarin, Market Risk, Marketing, Microsoft Excel, Microsoft Word, Portfolio Management, Powerpoint, Quotation, Regulatory, Research, SFC, TMA
为方便用户,人才服务办公室网站提供由其他网站整合的职位空缺信息及相关链接。本網站对这些网站提供的内容不负有任何责任。