Your new company
This is an established financial institution based in Kuala Lumpur.
Your new role
Reporting to the Chief Investment Officer, you will be responsible to manage a Fixed Income portfolio (local and foreign bonds), monitor the performance of the existing securities held in the portfolios and to give advice on them when warranted, including to prepare proposals to restructure or remove them. You also will conduct fundamental, credit and technical analyses on companies, industries, regulations and economies and give ideas to enhance the Company’s investment returns.
Apart from that, you will analyse and prepare investment proposals on companies, funds and financial products for potential investment purposes based on primary and secondary market data. You will also update the Head of Department of the general performance (present and outlook) of the equity and bond markets, as well as the interest rates and foreign exchange rates prior to any Management Committee, Board Committees and Board Meetings.
What you'll need to succeed
Ultimately you are an independent thinker who stands firm on your convictions but is also a good team player. In addition, you will have:
• At least 5 years of working experience in fixed income research and portfolio management
• Knowledge of foreign credits or foreign bonds is an added advantage
What you'll get in return
You will be joining a dynamic company that offers:
- Flexible working arrangements
- Learning & development opportunities
- Career progression opportunities
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV to email@example.com or call me at 03-2786 8686.
If this job isn't quite right for you but you are looking for a new position under the Asset Management space, please contact me for a confidential discussion on your career.