Global Fixed Income Portfolio Manager - Data-Driven

Randstad Hong Kong Limited

Hong Kong

On-site

HKD 900,000 - 1,400,000

Full time

10 days ago
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Job summary

Randstad Hong Kong Limited is seeking an Investment Manager for Global Fixed Income in Hong Kong. You will monitor global fixed income strategies, track macro developments, and conduct due diligence on external fund managers, while preparing dashboards and reports for senior stakeholders.

The role emphasizes quantitative analytics, disciplined risk management, and ESG integration within the portfolio. Strong English communication and a Bachelor degree are required; CFA or advanced degree is

Qualifications

  • 5 to 7 years of relevant fixed income experience.
  • Knowledge of global fixed income instruments, market dynamics, and derivatives.
  • High proficiency in Excel; Python/SQL/VBA advantageous.
  • Strong written and verbal English communication.
  • Quantitative, organizational and stakeholder management abilities.
  • Bachelor degree in Finance, Economics, Business, or quantitative discipline; CFA or advanced degree preferred.

Responsibilities

  • Assist in monitoring and managing global fixed income strategies and daily portfolio operations.
  • Track global macroeconomic trends, market developments, and overall portfolio performance.
  • Evaluate, select, and conduct ongoing due diligence on external fund managers.
  • Prepare analytical dashboards, performance reviews, and management reports for senior stakeholders.
  • Leverage quantitative tools and programming to support manager research and data infrastructure.
  • Support ESG integration and sustainability framework initiatives within the portfolio.

Skills

Fixed income
Portfolio management
Manager selection
Quantitative analytics
Excel
Python
SQL
VBA
English communication
Stakeholder management

Education

Bachelor Degree
CFA (preferred)

Tools

Excel
Python
SQL
VBA

Job description

Randstad Hong Kong Limited is seeking an Investment Manager for Global Fixed Income in Hong Kong. You will monitor global fixed income strategies, track macro developments, and conduct due diligence on external fund managers, while preparing dashboards and reports for senior stakeholders.

The role emphasizes quantitative analytics, disciplined risk management, and ESG integration within the portfolio. Strong English communication and a Bachelor degree are required; CFA or advanced degree is

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