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Job summary
Bank of China (Hong Kong) Limited is seeking a motivated individual to manage the bond portfolio in Hong Kong. The role involves generating risk-adjusted returns, providing competitive market pricing, and collaborating with internal teams. The ideal candidate holds a Bachelor’s degree in Finance, Economics, or Mathematics, possesses strong experience in bond trading, and is fluent in both English and Chinese. This full-time position offers a dynamic work environment with opportunities for professional growth.
Qualifications
Proven experience in bond trading or institutional fixed‑income sales.
Strong understanding of investment-grade credit market.
Ability to work independently and collaboratively.
Responsibilities
Manage the bond portfolio to generate risk-adjusted returns.
Provide secondary market pricing to clients and sales team.
Monitor market developments and share actionable market insights.
Skills
Bond trading experience
Investment-grade credit market knowledge
Fixed-income product pricing and execution
Fluent in English and Chinese
Stakeholder management
Education
Bachelor’s degree in Finance, Economics or Mathematics
Job description
Bank of China (Hong Kong) Limited is seeking a motivated individual to manage the bond portfolio in Hong Kong. The role involves generating risk-adjusted returns, providing competitive market pricing, and collaborating with internal teams. The ideal candidate holds a Bachelor’s degree in Finance, Economics, or Mathematics, possesses strong experience in bond trading, and is fluent in both English and Chinese. This full-time position offers a dynamic work environment with opportunities for professional growth.