Are you an ambitious fixed income portfolio manager seeking an entrepreneurial platform with exceptional upside? A reputable state-owned financial conglomerate's asset management arm in Hong Kong is hiring a Portfolio Manager to build their Investment Grade strategies. Drive AUM growth, capitalize on lucrative incentive splits, and lead team expansion. Apply now to advance your career.
about the company.
Our client is the asset management platform of a Chinese financial services conglomerate with a strong international footprint in Hong Kong. Renowned for its institutional backing and diverse capital markets capabilities, the firm specialises in equity, high-yield, and fixed income strategies. They offer an entrepreneurial, growth-oriented environment backed by an industry-leading payout and incentive structure.
about the team.
You will join a focused asset management division alongside established Portfolio Managers covering equities and high-yield credit strategies. The environment is agile, collaborative, and fast-growing. While initial setup support is lean, successful performance directly unlocks resources to scale the platform, expand dedicated desk resources, and build out a dedicated fixed income team under your leadership.
about the job.
- Spearhead the origination, launch, and management of Investment Grade (IG) fixed income portfolios and strategy mandates.
- Drive asset gathering by leveraging personal institutional networks, investor relationships, and client coverage channels to raise and expand platform AUM.
- Formulate macro-economic views, credit selection criteria, and yield-enhancement strategies across global and regional IG bond markets.
- Design competitive fee and performance incentive structures while benefiting from a highly generous revenue-share compensation package.
- Monitor portfolio risk parameters, duration, credit ratings, liquidity profiles, and regulatory compliance standards across mandates.
- Champion the growth of the fixed income business line with the long-term objective of building and leading a dedicated portfolio management team.
skills & experience required.
- Degree holder or above in Finance, Economics, Financial Engineering, or a related discipline; CFA designation is highly preferred.
- Minimum of 8 years' experience in fixed income portfolio management within asset management, private banking, or capital markets, suitable for Senior PM level.
- Proven track record in managing Investment Grade (IG) fixed income strategies and credit portfolios.
- Demonstrated history and proven ability to raise AUM through strong relationships with institutional investors, family offices, or high-net-worth clients.
- Strong entrepreneurial mindset with the independence to manage portfolios autonomously under a lean operational setup.
- Fluency in spoken Mandarin and written Chinese, alongside professional English, is mandatory to engage with regional stakeholders and investors.
If you are interested in this role, please click 'Apply Now' or send your CV directly to doris.dong@randstad.com.hk.
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