Investment Manager – Global Fixed Income
About the Company Our client is a major institutional asset owner based in Hong Kong, managing a diversified, multi-billion-dollar global investment portfolio.
About the Team You will join a collaborative, data-driven investment team focused on portfolio strategy and fund selection. The team emphasizes quantitative analytics, rigorous research, and disciplined risk management.
About the Role
- Assist in monitoring and managing global fixed income strategies and daily portfolio operations.
- Track global macroeconomic trends, market developments, and overall portfolio performance.
- Evaluate, select, and conduct ongoing due diligence on external fund managers.
- Prepare analytical dashboards, performance reviews, and management reports for senior stakeholders.
- Leverage quantitative tools and programming to support manager research and data infrastructure.
- Support ESG integration and sustainability framework initiatives within the portfolio.
Skills & Experience Required
- University degree in Finance, Economics, Business, or a quantitative discipline; CFA or advanced degree preferred.
- 5 to 7 years of relevant experience in fixed income markets, portfolio management, or manager selection.
- Sound knowledge of global fixed income instruments, market dynamics, and derivatives.
- High proficiency in Excel; experience with Python, SQL, or VBA is a distinct advantage.
- Strong written and verbal communication skills in English.
- Strong quantitative, organizational, and stakeholder management abilities.