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Senior Credit Analyst (Fixed Income), Asset Management

  • Fixed Income Investments
  • Asia Credit Market Analysis
  • Expanding Asset Management Firm

Our client is a well-established International Financial Services Group with an expanding Asset Management business in Asia. Due to increasing business activities and new fund launches together with a solid growth plan in place for Asia, the group is now seeking a high-calibre Senior Credit Analyst to join the Fixed Income Investment Team, based in Hong Kong.

The key responsibilities for this position are as follows:

  • As a key team member of the Fixed Income investment team, supporting the Head of Investments, Head of Fixed Income and Portfolio Managers on credit analysis work.
  • Responsible for credit research, credit assessment, risk rating recommendations and limit setting for credit approval, market / industry analysis and monitoring, preparing and presenting credit opinion.
  • Monitor credit exposures by performing credit analysis on individual corporates, sovereign, financial institutions, fixed income market, conducting credit research for credit sectors and regulatory risks in the Asia market.
  • Perform fundamental analysis, industry review and rating assessment, conduct company visits and periodic credit portfolio reviews.
  • Conduct credit risk reviews and analysis to set credit risk appetite, credit limits, credit approval and annual credit risk themes.
  • Ensure credit procedures are in line with regulatory and group risk framework and standards.
  • Keep abreast of economic and market news and conditions, work with external analysts, credit rating agencies and relevant professionals for industry updates and information.

Successful applicants will have the following skills and experience:

  • Degree qualified with around 7+ years of relevant experience in Credit Analysis, Credit Rating, Credit Research, Credit Risk Management and / or Portfolio Risk Management.
  • Qualifications in FRM, CFA and / or CPA would be beneficial but not required.
  • Relevant SFC licence would be preferred.
  • Solid experience in conducting fundamental analysis.
  • Experience gained from Insurance, Asset Management, Investment Banking, Corporate Banking and / or Credit Rating Agencies.
  • Familiar with credit products, financial markets, fixed income and ORSO / MPF would be advantageous.
  • Understanding on credit ratings, limit frameworks and risk measures.
  • Excellent presentation and communication skills in English ideally with fluency in Cantonese or Mandarin.

Information provided is for recruitment purposes only.

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