Portfolio Manager (Hong Kong Branch)

Contract Part time in Banking & Finance
  • Central, Hong Kong View on Map
  • Post Date : November 18, 2021

Job Detail

  • Job ID 21985
  • Offered Salary 0
  • Career Level Management
  • Experience Others
  • Industry Banking / Finance / Investment
  • Qualifications Bachelor Degree

Job Description

Join Bank of China (Hong Kong)

Be a dynamic member of our team

We commit to excellence and professionalism

We value people

We offer challenging and rewarding careers that will further your personal development.

For other vacancies, please visit our website at http://www.bochk.com

Job No.: 494618
Employment Type: Contract, Full time
Departments: Hong Kong Branch
Job Functions: Investment Management, Risk Management

Bank of China limited first opened its branch office in Hong Kong in 1917. After the listing of BOC Hong Kong (Holdings) Limited, a subsidiary of the Bank, on the Hong Kong Stock Exchange in 2002, Bank of China maintained the branch in Hong Kong which continued to hold a full banking license granted under the Banking Ordinance (Cap. 155) and was registered as an authorized institution under the Banking Ordinance. Bank of China uses this branch primarily to conduct financial markets businesses,which include foreign-currency denominated debt security investment management, issuance of CDs (Certificates of Deposit)/MTN/senior debts, investment of on-shore RMB debt securities, ,bond underwriting and sales, asset management, off-shore RMB trading, and risk management of the above-mentioned businesses.

Responsibilities:

  • Perform statistical analysis of historical and current financial market data
  • Proactively conduct quantitative analysis to identify and model macro and fundamental drivers of performances and risks
  • Take an idea from inception, through to analyzing datasets, coding, running simulations and back-testing
  • Process large datasets to detecthidden signals and patterns in order to predict future events
  • Identify and quantify risk factors (including market risk, credit risk, liquidity risk) relevant to the fixed income portfolio, in line with bank’s risk appetite
  • Develop analytical, quantitative tools, and framework to attribute performance, monitors risks, and evaluate portfolio construction
  • Prepare daily, weekly and monthly statistical and research report on global fixed income market
  • Analyze credit profile of bond issuers in the fixed income market, provide credit analysis opinion towards single name issuers

Requirements:

  • Candidates in finance, computer science, mathematics, or other related discipline
  • Prior experience in trading, portfolio management for relevant product areas
  • Strong communication skills in English and Mandarin, formal written skill in Mandarin
  • Demonstrated ability to conduct independent research
  • Detail-oriented, responsible and able to work independently
  • Employment will be under 2-year renewable contract

This position will be hired under Bank of China (Hong Kong Branch)

此崗位將由中國銀行(香港分行)直接聘任

We offer competitive remuneration package and comprehensive fringe benefits including medical and life insurance, and different types of allowances to the right candidate. Interested parties, please submit your application online. For details, please visit our website “http://www.bochk.com”

To apply: https://careers.pageuppeople.com/798/cw/en/job/494618?lApplicationSubSourceID=11232

Data collected would be used for recruitment purposes only. It might also be disclosed to our subsidiaries or Associated Companies to process the information for appointment. Applicants who do not hear from us within 8 weeks may consider their application unsuccessful and their data will be destroyed within 12 months of receipt

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