Exciting new headcount in a reputable MNC insurance company in a newly set up global investment team of 3. They can offer a very friendly and harmonious working environment. As the team is new, you will work with you senior colleagues to set up the infrastructure and processes together so it is a time for you to truly see your value add and even leave a good legacy in the company. This is a very international team and you will also be working very closely with the US team so excellent international exposure.
Reporting to the Associate Director, you two will work together to monitor performance of portfolio managers. You will analyze potential investment opportunities to maximize the company portfolio's risk-adjusted return. You will ensure the portfolio is within the portfolio parameters and limits, including asset allocation, liquidity and risk exposures. You will develop and improve investment dashboard to help yourselves in managing the company's investment portfolio.
- MUST have good Fixed Income (mainly credits) knowledge especially on the US market
- Bachelor degree in Economics, Finance or related fields
- At least 4-5 years of experience in fixed income analysis or investment roles
- CFA qualification would be an advantage but not a must
If you are interested in exploring this role further, please send your resume to Sze Sze Yeung at firstname.lastname@example.org or call directly on +852 3695 5140 for a confidential discussion
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Argyll Scott Asia is acting as an Employment Agency in relation to this vacancy.