Conduct extensive macroeconomic, region, industry andpany specific research with focus on credit perspective
Consistently make relevant investment rmendation, produce and maintain research reports and data base
Global bond investment (IG and HY credits) with potential coverage of issuers across regions and sectors
Assist in investment strategy formulation and articulation as well as marketing and clientmunication
Requirements
2-8 years of relevant experience with solid academics, holding qualification in accounting, finance and economics is a plus (working title will be considered based on relevant working experience)
Motivation in developing career in credit research and credit investment in an asset management firm
Strong presentation andmunication skills
Strong team player
Proven problem-solving, analytical and multi-tasking skills
Very strong attention to details
Advanced skills in financial modelling
Able to work under pressure
Native / proficiency in Mandarin speaking and writing is a plus
Experience of covering non-Chinese issuers in multi-sectors is a plus