Execute primary and secondary market transactions in global investment grade bond market, including government bonds, policy bank bonds, credit bonds, convertible bonds, and CNH bonds.
Monitor macroeconomic trends, interest rate movements, and credit market developments to adjust and execute bond investment strategies.
Participate in portfolio build-up and risk management to optimize the balance between return and risk.
Prepare market and investment analysis reports to support the investment decision-making.
Perform other duties as assigned by management.
Requirements
Master’s degree or above in Finance, Economics, Accounting, or related disciplines.
Minimum of 5 years of experience in bond trading, with solid understanding of both onshore and offshore bond markets.
CFA/FRM qualification is preferred.
Strong financial analysis and credit assessment skills; proficient in interpreting financial statements and valuation models.
High market sensitivity, strong risk awareness, and solid trade execution capabilities to work under the intensive environment.
Excellent communication and teamwork skills
Proficient in both written and spoken English and Chinese.
职位:债券交易员(Bond Trader)
【岗位职责】
1. 进行全球投资级债券(包括国债、政策性金融债、信用债、可转债、点心债等)的一、二级市场交易与风险管理;
2. 跟踪宏观经济、利率走势及信用市场动态,制定并调整投资策略;
3. 协助债券组合构建与风险管理,优化投资收益与风险匹配;
4. 撰写市场分析及研究报告,支持投资决策;
5. 协助完成上级交办的其他工作任务。
【任职要求】
1. 金融、经济、会计或相关专业硕士及以上学历;
2. 具备5年以上债券交易相关经验,熟悉债券市场运作机制;持有CFA或FRM资格者优先;
3. 具备扎实的财务分析能力与信用评估能力,熟悉财报解读与估值模型;
4. 具备良好的市场敏感度、风险意识与交易执行力;
5. 具备良好的沟通能力与团队协作精神;
6. 中英文书面与口头表达能力俱佳。
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