Responsible Officer (Type 4 & 9), Director

Location: Hong Kong
Job Type: Permanent
Reference: 03_171218
Sector: Investment Management


  • Responsible for portfolio construction and management process for equity/fixed income investments
  • Develop appropriate fund investment philosophy, legal structure, or risk - return mechanism
  • Analyze global market and economic conditions, and devise appropriate investment strategies
  • Construct, maintain, and manage portfolios with allocations to the secondary market in China/HK
  • Determine appropriate sizing of positions, monitor and analyses of portfolio risk profile and exposures
  • Maintain broker-dealer relationships to ensure proper coverage and best execution


  • Bachelor’s degree in Finance or related field. CFA preferred.
  • 8+ years of experience investing in either equities or bonds. 2+ years track record is preferred
  • Excellent working knowledge and understanding of fundamental, bottom-up investment strategy
  • Knowledge of portfolio management theories and practices
  • Familiar with asset allocation, performance measurement, attribution analysis
  • Interpersonal skills and abilities to interact in a collaborative environment
  • Mandarin is a MUST. Fluency in English is preferred