Responsibilities: Responsible for equity and FX dealing in Greater China (including offshore and onshore), and United States; Fixed income dealing include onshore and offshore CNY/USD cash bond, Repo, etc.; Interact with the back office to ensure a smooth trade process and perform trade reconciliations; Work closely with portfolio managers to manage the relationship with existing trading brokers and counterparties, perform broker reviews on a timely basis; Assist Portfolio Managers in HK/China market research as needed; Responsible for counterparty KYC etc; Coordinate projects/assignments as requested by the team on an ad hoc basis.
Requirements: Bachelor's degree or above in finance or related majors;3-4 years of related experience in buy-side companies; Good knowledge of trading algorithms and strategies available provided by brokers; Knowledge or experience in using Bloomberg AIM and O32; Previous knowledge of ETF is preferred; Conversant with Microsoft Office and Chinese word processing; Good command of both spoken and written Chinese and English.