- Execute multi-asset fixed income trades ensuring liquidity pricing & compliance
- Partner with investment teams managing relationships & insights
Leading asset management firm delivering multi-asset investment solutions across equities, fixed income, gold, and alternatives, combining rigorous research, disciplined risk management, and institutional-grade portfolio management expertise.
Job Description
- Execute fixed-income trades across a broad range of instruments, including cash bonds, repos, derivatives (CDS/CDX, interest rates, FX, futures), structured products, and convertible bonds.
- Act as a front-line market partner to portfolio managers and investment teams, providing timely execution and market color.
- Monitor global fixed-income and macroeconomic developments to support trading decisions and risk positioning.
- Manage trading relationships with counterparties, ensuring best execution, pricing competitiveness, and liquidity access.
- Execute and support trading in complex instruments, including MBS, CDS, FX, interest rate products, and structured solutions.
- Ensure all transactions comply with internal policies, regulatory requirements, and risk management frameworks.
- Collaborate closely with risk, compliance, operations, and middle office teams to ensure accurate trade capture and settlement.
- Analyze market trends, yield curves, spreads, and relative value opportunities to provide actionable insights.
- Maintain meticulous trade documentation and records, ensuring accuracy and audit readiness.
- Contribute to process improvements, automation initiatives, and enhancement of trading infrastructure and workflows.
The Successful Applicant
- Bachelor's degree or above in Finance, Economics, Mathematics, Engineering, or a related discipline.
- Professional certifications such as CFA, FRM, or equivalent are strongly preferred.
- Strong knowledge of fixed-income markets, including instruments, pricing, and trading mechanics.
- Proven experience executing trades across multiple asset classes, including bonds, derivatives, and structured products.
- Solid expertise beyond cash bonds into areas such as MBS, CDS, FX, interest rate products, and structured solutions.
- Acute market awareness with strong analytical and quantitative thinking capabilities.
- Excellent communication skills with the ability to manage external counterparties and internal stakeholders effectively.
- High level of integrity, strong compliance mindset, and rigorous attention to detail.
- Ability to balance precision in trade execution with forward-looking judgment and market insight.
- Proactive, self-driven mindset with the ability to operate in a fast-paced, front-office trading environment; fluent English (written and spoken) is essential.
What's on Offer
Good package and growing platform
Job ID JN-052026-7015845
Since our start as a two-man operation in London in 1976, Michael Page has grown and expanded globally. Now, after more than 40 years in the recruitme...
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