1.Conduct bottom-up credit analysis for EM corporate/sovereign issuers across regions;
2.Perform in-depth industry and sector analysis to form top-down allocation strategies;
3.Construct financial models for fundamental and event-driven analysis;
4.Responsible for ongoing credit monitoring, include but not limited to onsite visits, issuer meetings, investor presentation, periodic written research reports, etc;
5.Team up with portfolio managers on risk positioning and management;
6.Work closely with product specialist / sales force on product development, investor education, credit/strategy presentations, and marketing materials.
1.5+ years of working experience in financial / investment industry required;
2.Proven accounting, financial modeling, and analytical skills;
3.Finance / Math / Engineering major preferred, CFA is a strong plus;
4.Excellent presentation and communication skills under stress and time limitation;
5.Strong writing skills with fluency in English; Mandarin is a plus but not required;
6.Detail oriented team player, strive to success, motivated self-learner.