My client is currently seeking to expand their Asia Pacific Credit team by adding a specialist Credit Portfolio Manager (Based on experience level) in their Hong Kong office. They have a developed platform that has been highly successful in delivering market leading trading strategies in the region.
The role will be focused on China onshore credit markets with a focus across both High Yield and Investment grade corporate debt, so they are seeking someone with experience in this market.
Perform proprietary Fundamental research into the Asia Pacific credit markets to generate trade/investment ideas for the Asia product
Liaise daily with the portfolio management team to discuss current themes and ideas to implement
Work closely with the CIO to continually enhance the firms Asia Credit Strategy
Take charge of a Discretionary Credit book covering Asian Credit
Keep in constant communication with leading market participants to ensure the firm is fully updated with the current macro credit environment
5-8 years experience in fundamental credit, with demonstrated exposure to the Asian region
Specific coverage of the High Yield and Investment Grade debt markets. Candidates with buyside experience are preferred however exceptional sell-side candidates are also urged to apply
Track record of 1-2 years is ideal for this positive however exceptional analysts looking to transition into PM roles are welcomed to apply
Distinct communication skills with the ability to explain complex investment ideas in a concise and coherent manner
University educated obtaining at least a Bachelor's in an analytical degree from a Global Tier-1 University
If you feel you have the required skill-set for this role, please send an updated resume in MS Word format to firstname.lastname@example.org.
This role is highly urgent so candidates are urged to apply quickly.